Job Search and Career Advice Platform

Enable job alerts via email!

Market Risk Analyst

ADIB Group

Abu Dhabi

On-site

AED 120,000 - 200,000

Full time

Today
Be an early applicant

Generate a tailored resume in minutes

Land an interview and earn more. Learn more

Job summary

A financial institution in Abu Dhabi is seeking a Market Risk Analyst to monitor and report on market risks, analyze data, and support reporting activities. The ideal candidate is a recent graduate with a Bachelor's degree in finance, economics, or accounting and must possess strong analytical and communication skills. This position is exclusively for UAE Nationals.

Qualifications

  • Bachelor’s degree in finance, Economics, or Accounting.
  • Good analytical problem-solving and communication skills.
  • Recent graduate with a background in Finance or Accounting.

Responsibilities

  • Support the group in basic analytical work and data gathering.
  • Assist in the preparation of Market Risk daily and management reports.
  • Retrieve, update, and analyze Market Risk data.
  • Contribute to the maintenance of RCSA on the GRC system.

Skills

Analytical problem-solving
Communication skills
Attention to detail
Data analysis

Education

Bachelor’s degree in finance, Economics, Accounting

Tools

Microsoft Office
Job description
Description

Role: Market Risk Analyst

Location: Abu Dhabi

Role Purpose:

  • The Market Risk function within the Risk Management Department mandate is to: monitor report, model Market Risk, build stress test scenarios, Liquidity Risk as well as support and due diligence Treasury, Capital Markets, Asset and Liability management activities.
  • The job holder is expected to support the Market Risk department related to BAU activities like daily and other periodic reports and to work in close coordination with the Market Risk Manager to support timely delivery of analytics for the various stakeholders.

Key Accountabilities of the role:

  • Support the group in basic analytical work including gathering and scrubbing data for further analysis by the team.
  • Assist in the preparation of the Market Risk daily report and other management and Board report.
  • Retrieve update and analyze Market Risk data as required by the Market Risk Manager.
  • Contribute to the maintenance of RCSA on the GRC system and Business Continuity Plan.
  • Support the team with the collateral management for monitoring collateral movement & addressing margin calls.
  • Support the team in static data verification with like prices and rating of assets class like sukuk and equity.
  • Supporting in collating data from different subsidiaries for group reporting.

Education and experience:

  • Bachelor’s degree in finance, Economics, Accounting.
  • Good analytical problem-solving and communication skills and attention to details.
  • Working knowledge of Microsoft office.
  • Recent graduate with a background in Finance or Accounting.
  • This position is for UAE Nationals only.

Required Experience:

IC

Get your free, confidential resume review.
or drag and drop a PDF, DOC, DOCX, ODT, or PAGES file up to 5MB.