
Market & Liquidity Risk Professional
6 days ago
About the Role:
Risk Managers play a crucial role in ensuring the stability and profitability of our organization. As a Market, Liquidity, and Interest Rate Risk Manager, you will be responsible for monitoring and mitigating risks associated with market fluctuations, liquidity shortages, and interest rate changes.
Key Responsibilities:
- Manage and monitor market risk, liquidity risk, and interest rate risk to ensure compliance with regulatory requirements.
- Develop and maintain accurate and timely risk reports for internal stakeholders and Head Office.
- Identify and resolve data quality issues through collaboration with Treasury and Management teams.
- Review and update risk management policies and processes to align with Head Office and local regulatory standards.
- Monitor risk indicators to ensure they remain within defined limits.
- Provide analytical support and insights to stakeholders on market, liquidity, and interest rate risk matters.
Requirements:
To succeed in this role, you will need:
- A strong background in finance, risk management, or a related field.
- Excellent analytical and problem-solving skills.
- Effective communication and collaboration skills.
- Ability to work independently and as part of a team.
Benefits:
We offer a competitive salary and benefits package, including opportunities for professional growth and development. If you are a motivated and detail-oriented individual looking to take your career to the next level, please apply now.
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