Financial Risk Manager

Albert Cliff Ltd - Dubai - Financial Risk Manager The role and key responsibilities: Running day to day risk management tasks and activities Risk reports: PnL, Positions, VaR, Credit Risk Exposures, Margining Risk, Stress Testing Risk policies and limits compliance monitoring Credit and Collateral management; Negotiation, monitoring and coordinating incoming/outgoing collateral requirements (bank guarantees etc.) Ownership of ETRM system and operation of relevant risk/reporting modules and end-of-day processes. Running of curve management process: creation, back testing and supervision of inhouse built forward curves reflecting market-based methodologies and 3rd party information Maintaining and updating authorized product, trader and counterparty lists Preparing transactional risk reviews and providing independent advice to decision makers on commercial opportunities (both quantitative and qualitative) Providing quantitative risk expertise for the development of commercial decision-making tools and ...

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