Manager Corporate & FI Portfolio Analytics

ADIB Group

Abu Dhabi

On-site

AED 420,000 - 640,000

Full time

14 days+
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Job summary

ADIB Group is seeking a Manager - Corporate & FI Portfolio Analytics to lead data preparation, portfolio analysis, and MIS packaging in Abu Dhabi. The role focuses on delivering accurate risk reports, dashboards, and governance for internal and external reviews.

Responsibilities include data file development, quarterly disclosures, MIS packs, and SLA/SOP maintenance, with hands-on automation using SAS/Python/R to improve reporting efficiency.

Qualifications

  • Specialist skills / technical knowledge required for this role.
  • Strong data management and reporting capabilities.
  • Experience with risk and regulatory reporting frameworks.

Responsibilities

  • Accurate development of the base data files used monthly for Management and reporting
  • Preparation of Risk related financial disclosures on quarterly basis including collateral risk rating IFRS 9 provisions movement of exposures ECL etc.
  • Prepare MIS packs to be circulated to Business and Risk Managers on monthly/quarterly basis.
  • Prepare review and update SLAs and SOPs periodically.
  • Automation of reporting using SAS and create dashboard snapshots for different portfolios.
  • Serve as backup of Portfolio and Risk Analytics team members.

Skills

Portfolio analytics
Regulatory reporting
Attention to detail
MS Office advanced
SAS/Python/R automation

Tools

SAS
Python
R
MS Office
Crystal Reports
Phoenix
BO CCP

Job description

Description

Role: Manager - Corporate & FI Portfolio Analytics

Location: Abu Dhabi

Role purpose:

  • Portfolio analysis and creating insights from data preparation of various MIS and presentations.
  • Arrange quarterly portfolio packs for review with Risk Managers Auditors Internal / External and committees.
  • Ensures quality of data collection and reconciliation techniques are established for internal and external reporting.
  • Quality enhancement of risk reports and automation of the reports using SAS/Python/R.
  • Proficiently organize and update management reports to achieve a sound understanding of the dynamics and risks of the economy and industries in which clients within the portfolio operate
  • Identify root causes/key drivers for alarming trends risk pockets portfolio quality and variances

Key accountabilities of the role:

Responsibilities:

  • Accurate development of the base data files used monthly for Management and reporting
  • Preparation of Risk related financial disclosures on quarterly basis including collateral risk rating IFRS 9 provisions movement of exposures ECL etc.
  • Prepare MIS packs to be circulated to Business and Risk Managers on monthly/quarterly basis.
  • Prepare review and update SLAs and SOPs periodically.
  • Automation of reporting using SAS and create dashboard snapshots for different portfolios.
  • Serve as backup of Portfolio and Risk Analytics team members.

Specialist skills / technical knowledge required for this role:

  • Excellent business knowledge of the Retail and Non-Retail portfolios
  • Well versed with management and regulatory reporting and banks policies and procedures
  • Attention to detail accuracy oriented with sense of accountability
  • Advanced users of MS Office ALGO BO CCP crystal reports and Phoenix
  • Technical knowledge for using SAS/R/Python for running periodic reports and automation.

Previous experience required (if any):

  • Minimum of 10 years experience is required
  • Experience in Management or Regulatory reporting
  • Relevant portfolio analytics and dashboard creation experience
  • Advanced users of SAS/Python MS-Excel Power-point and MS Office Suite
  • Experience in core-banking systems Business objects and automation of reports
  • Experience in using statistical software for automation such as SAS

Required Experience:

Manager

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