Market Risk Analyst

Client of Expert Skilled Human Resource Consulting

Posted 30+ days ago

Experience

15 - 17 Years

Education

Bachelor of Arts(Economics)

Nationality

Any Nationality

Gender

Not Mentioned

Vacancy

1 Vacancy

Job Description

Roles & Responsibilities

1. Market Risk Monitoring & Analysis

  • Monitor daily market risk exposures across trading and banking book portfolios.
  • Analyze interest rate, FX, equity, commodity, and liquidity risk exposures.
  • Track Value-at-Risk (VaR), sensitivities, stress test results, and limit utilizations.

2. Reporting & Controls

  • Prepare regular market risk reports including daily, weekly, and monthly dashboards.
  • Highlight limit breaches, risk trends, and potential vulnerabilities to senior management.
  • Support the development of market risk control mechanisms and early warning indicators.

3. Stress Testing & Scenario Analysis

  • Conduct sensitivity and stress testing on investment portfolios.
  • Evaluate the impact of market movements on bank profitability and capital adequacy.
  • Assist with ICAAP-related market risk analysis.

4. Liquidity Risk Management

  • Monitor liquidity ratios, LCR/NSFR, funding concentrations, and cash flow mismatches.
  • Support preparation of liquidity risk reports and contingency funding plans.
  • Conduct liquidity stress testing as per regulatory guidelines.

5. Regulatory Compliance

  • Ensure compliance with UAE Central Bank market risk frameworks and reporting requirements.
  • Assist in preparing submissions for regulatory audits and examinations.
  • Stay updated with market risk standards and regulatory changes.

6. Investment Portfolio Oversight

  • Analyze performance and risk metrics for treasury and investment portfolios.
  • Assess credit spreads, yields, and market valuation impacts.
  • Provide recommendations to enhance risk-return profiles.

7. Systems, Models & Data Management

  • Work with risk systems (e.g., Treasury systems, risk engines, market data platforms).
  • Assist in the enhancement of models such as VaR, stress testing, and exposure calculations.
  • Ensure accuracy and integrity of market risk data.

Qualifications & Skills:

Education & Experience:

  • Bachelors degree in Finance, Economics, Mathematics, Statistics, or related field.
  • 15 years of experience in Market Risk, Treasury Middle Office, or Financial Risk Analysis.
  • Professional certifications (FRM, CFA) are an advantage.

Technical Skills:

  • Strong understanding of market risk concepts (VaR, duration, convexity, sensitivities, EVE/NII, liquidity risk).
  • Experience with risk systems, financial modeling, and market data tools.
  • Advanced MS Excel skills; familiarity with Python/R is beneficial.
  • Understanding of fixed income, FX markets, and derivatives.

Behavioral Competencies:

  • Analytical mindset with excellent attention to detail.
  • Strong communication and reporting skills.
  • Ability to work under pressure and meet tight deadlines.
  • Team-oriented, proactive, and disciplined.

Key Deliverables:

  • Accurate and timely market risk reports.
  • Regular stress test and limit monitoring outputs.
  • Compliance with bank risk appetite and regulatory standards.
  • Effective identification of market trends and risk exposures.

Desired Candidate Profile

Education & Experience:

  • Bachelors degree in Finance, Economics, Mathematics, Statistics, or related field.
  • 15 years of experience in Market Risk, Treasury Middle Office, or Financial Risk Analysis.
  • Professional certifications (FRM, CFA) are an advantage.

Department / Functional Area

Keywords

  • Market Risk Analyst

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Client of Expert Skilled Human Resource Consulting

https://www.careers-page.com/experthr/job/8XX57V93

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