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Market Risk Analyst(Core Responsibilities -On monitoring and reporting)bank

TAT IT Technolgies · Dubai, Dubai, United Arab Emirates

قدّم وتابع مع أبلاي إيدج
Urgent requirement for Market Risk Analyst Analyst(Core Responsibilities -On monitoring and reporting)in banking domain is required for our banking clients in Dubai.Strong understanding of global markets and instruments (FI, Derivatives, FX, Equities) and market risk concepts/models.--MustAdvanced MS Excel (mandatory); Python, SQL, R, risk engines, Bloomberg/Reuters (advantageous).--MustDaily monitoring of Value-at-Risk (VaR), Expected Shortfall, and sensitivity analyses across trading and banking books.--MustResponsibilitiesRisk Metrics Tracking: Daily monitoring of Value-at-Risk (VaR), Expected Shortfall, and sensitivity analyses across trading and banking books.Limit Management: Monitor exposures against established risk limits and escalate breaches promptly to senior management.Reporting & Compliance: Prepare and review daily/weekly risk dashboards for internal stakeholders and regulatory requirements.Stress Testing: Conduct or review scenario analyses to assess impact of adverse market movements, interest rate shifts, and liquidity crises on capital adequacy and profitability.System & Model Validation: Assist in back-testing risk models, validate market data accuracy, and support treasury/risk system upgrades.QualificationsEducation: Bachelor’s or Master’s degree in Finance, Economics, Financial Engineering, Mathematics, or related quantitative field.Certifications: FRM, CFA (preferred).Technical Skills: Advanced MS Excel (mandatory); Python, SQL, R, risk engines, Bloomberg/Reuters (advantageous).Financial Knowledge: Strong understanding of global markets and instruments (Fixed Income, Derivatives, FX, Equities) and market risk concepts/models.Skills: market risk,equities,monitoring