This page was automatically translated and may contain errors. View in English.
Confidential Government

Enterprise Risk Management

Confidential Government

Riyadh, Riyadh Province, Saudi Arabia · 정규직

가장 먼저 지원하세요

경험
6–8 yrs
샐러리
채용 공고
1
게시됨
3시간전
작업 모드
사무실에서
교육
Bachelor's degree in Finance or Economics
적임
Professionals with a bachelor’s degree in Finance or Economics and 6–8 years of relevant market risk, treasury risk, or investment analysis experience may apply. FRM or CFA is preferred. Strong English communication skills are expected.
재개하다
신청 시 필수 사항

당신이 일하게 될 곳

직무 설명

Role Summary

This position focuses on enterprise and market risk oversight across exposures linked to interest rates, foreign exchange, equities, and commodities. The role involves building risk models, running stress tests, and working with Treasury and Investment teams to make sure portfolio activity stays within the organization’s risk tolerance and relevant regulatory expectations.

Key Responsibilities

  • Track market movements on an ongoing basis and evaluate how they may affect the company’s portfolio and asset mix.
  • Create, apply, and maintain market risk measurement approaches such as Value at Risk, Expected Shortfall, and sensitivity testing.
  • Perform scenario analysis on investment portfolios using both past market events and hypothetical shocks to judge resilience.
  • Produce and deliver risk summaries, dashboards, and limit-usage updates for senior leadership and risk committees.
  • Maintain compliance with internal risk standards and external regulations, and escalate any breaches of approved limits without delay.
  • Work closely with Treasury, Investment, and Finance functions to share risk findings and assess the risk-return balance of new products or strategies.

Qualifications & Requirements

  • A bachelor’s degree in Finance or Economics is required.
  • FRM or CFA certification is strongly preferred.
  • Between 6 and 8 years of experience in market risk, treasury risk, or investment analysis, preferably in banking, asset management, or corporate treasury.
  • Strong command of MS Excel; VBA knowledge is an advantage.
  • Practical experience with financial modelling and data analysis tools such as Python, R, or SQL, or with risk management platforms.
  • Excellent analytical and problem-solving abilities, strong accuracy, and the skill to explain complex financial concepts to non-technical audiences.
  • Professional-level English communication skills, both written and verbal.

Additional Information

This is a full-time onsite role based in Riyadh, Saudi Arabia.

답변을 원하시면 남겨주세요. 다른 용도로는 사용하지 않습니다.

클릭하여 살펴보세요드래그 앤 드롭 또는 반죽 스크린샷

PNG, JPG, GIF, MP4, WebM, MOV · 파일당 최대 20MB · 최대 5개 파일

🤖
온라인 · 즉각적인 AI 도움말