Market Risk Coordinator At EG bank
MAJOR RESPONSIBILITIES AND ACOUNTABILITIES
Gathers, builds up and maintains database, spread sheets and models on many different aspects of the bank’s balance sheet for analytical purposes
Identifies, analyses and monitors market, counterparty and liquidity risks
Assists in the definition, review and implementation of limits and ensure they are well monitored and reported in the bank systems
Participates in the definition and assessment of the risk management framework for new trades/products/activities through contribution and/or attendance to decision making process
Prepares daily, weekly and monthly market risk reports including interest rate gaps, liquidity gaps, duration analysis and securities’ revaluation
Prepares and assists Senior officers and department head in producing research reports on the economic environment and the dynamics of market risk forces
Prepares the market risk capital requirements
Ensure full compliance and adherence to policies, procedures, regulatory/internal regulations, related to any transactions executed.
JOB REQUIREMENTS
Minimum education
: Bachelor degree in Economic or in Business
Desired education
: Actuarial Science Degree
Languages
: Fluent in Arabic and English (Writing and Speaking)
Ideal experience
: No Experience needed for this position