Accountabilities and Key Roles:
Identify, update & monitor all the possible risks that could affect the bank through the collaboration with the relevant risk departments and business units.Drive initiatives to enhance risk management processes, systems, and methodologies based on data driven trends and industry best practices.Build, develop, maintain and aggregate the data available within the bank with other product teams.Manage the regular reporting & production data systems needed to deploy machine-learning solutions to mitigate the risks.Build and maintain risk models in collaboration with the relevant risk departments to support improved risk intelligence, risk management and risk information to drive better risk informed decisions (i.e. stress testing & IFRS 9).Provide requirements for development of dashboard and technology tools.Provide regular reporting including Dashboards and Reports in coordination with the relevant risk departments (Credit, market & Liquidity, Operational…etc).Work closely with risk functions across AB entities for any country specific issue related to possible risks.Manage responses to ad-hoc requests from senior management, internal departments and external parties as required.
Job Requirements:Education:Bachelor’s degree in Business Information Technology, Business Administration or any related field from a recognized university.Professional certification in FRM/PRM or relevant certificates are preferable.
Experience:7 - 12 Years in Finance/ Risk Management experience in a leading Regional/ International institution, preferably related to Data Analysis closely linked with Risk Management.
Competencies:Fluent in English and Arabic.Strong analytical & numerical skills.Good presentation, communication, & interpersonal skills.Team building and team player.Proficient use of Microsoft Power BI.Strong proficiency in using various systems and data tool, including database query languages.