these risks connect and being able to deal with Treasury and Credit is therefore critical skill.
- Experience of operational risk management to support RCC role, operational risk responsibilities of the role.
- Experience of designing, implementing and maintaining systems and procedures to monitor and report trading activities in
order to maintain external regulatory / legal /compliance.
- Proven leadership and managerial skills with detailed-oriented thinking and a capacity to challenge senior management,
an ability to develop and execute management presentations, and to lead and motivate the risk control team.
- Excellent communication, interpersonal, and stakeholder management skills.
- Ability to understand and challenge fast risk-based decisions, sometimes based on limited amount of information.
- Excellent computer literacy skills, including MS excel, CTRM knowledge including risk products.
- Detailed knowledge of principles, policies, procedures, and processes pertaining to middle office areas.
- Ability to engage with and build credibility with senior stakeholders (EVPs, BOD) as well as ever expanding MT team.
Education
• Bachelor degree in Economics, Finance, Business Administration, Mathematics, Engineering or equivalent from an
internationally recognized university. Postgraduate Qualification (MSc. or MBA or professional degree in
finance/accounting/risk (ACCA, CPA, CA, CRM)) also acceptable.
- Relevant professional qualifications in market risk is strongly preferred.