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إنتهت صلاحية هذا الإعلان الوظيفي لقد إنتهت صلاحية هذا الإعلان الوظيفي و هو غير مفتوح حاليا لأي طلبات عمل.

إرفاق

Manager Risk Analytics & Capital Planning

الرياض, السعودية تم النشر 2021/04/27 12:33:48 تنتهي 2021-06-26 الرقم المرجعي: JB4340428

وصف الوظيفة

This role in Risk Strategy Division under Senior Manager - Risk Analytics and Capital Planning is responsible for assisting/ facilitating various key initiatives relating to Risk Appetite setting and Capital planning, in line with current and emergent Risk Regulations and Bank’s internal policies.

This is a hands-on role which will be engaged setting up of an Early Warning Signals framework to identify portfolio hotspots and conducting credit portfolio reviews and other ad-hoc analysis based on request.  A good analytical temperament, experience of working in the Wholesale (non-retail) space and ability to navigate through people and Bank’s information along with skills in Analytical software are critical to the success

Accountabilities

  • Actively associate as a key member of the ICAAP working group and assist Senior Manager - Risk Analytics and Capital Planning in finalization of the ICAAP document in close coordination with AFCD/ ALM and other related functions
  • Assist in the development and annual review of Risk Appetite at the Bank-wide level and its cascade to major Business Lines
  • Assist in development of Risk Acceptance Criteria for various lending segments
  • Conduct periodic analysis of current position against the Risk Appetite and Credit Strategy approved by the Board.
  • Associate closely in the development of an Early Warning Signal(s) framework which leverages on the Bank’s internal information (e.g. account conduct, past due annual reviews) and external data (where available) to identify potential portfolio hot-spots.
  • Conduct credit portfolio reviews (based on sector, tenor or other portfolio parameters)/ other ad-hoc analysis based on request from management and Board Committees
  • Continuous review of current and emerging Risk Management Regulatory landscape (locally and globally) and support internal preparedness to meet these requirements
  • Draft Policies and Procedures in order to support implementation of new risk-related regulations and drive their implementation

المهارات

  • Bachelor degree in Business Administration, Finance, Accounting or Economics
  • 8-10 years of experience in the similar field
  • Minimum 5 years quality experience in banking/ risk consulting
  • Well-developed management, interpersonal, organizational, problem-solving and verbal and written communication skills
  • Analytical thinking
  • Excellent knowledge of risk management principles, financial analysis
  • Good understanding of the Bank’s credit processes
  • Good knowledge of Bank’s products and procedures and Business
  • Hands-on experience in risk projects development and implementation
  • Intermediate IT skills

تفاصيل الوظيفة

مكان الوظيفة الرياض, السعودية
الدور الوظيفي غيرذلك
نوع التوظيف موظف
عدد الوظائف الشاغرة 1

المرشح المفضل

المستوى المهني متوسط الخبرة
عدد سنوات الخبرة الحد الأدنى: 8
الجنسية المملكة العربية السعودية

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