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Credit Risk Analyst jobs in United States

Compliance & KYC Analyst (Temporary Outsource)

ADIB Group

Abu Dhabi
On-site
AED 120,000 - 200,000
30+ days ago
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Analyst - KYC & Onboarding - Personal Banking (Emiratized role)

First Abu Dhabi Bank

Abu Dhabi
On-site
AED 120,000 - 200,000
30+ days ago

Embedded Risk & Security Analyst – Intelligence

Control Risks Group Holdings Ltd

United Arab Emirates
On-site
AED 120,000 - 200,000
30+ days ago

Risk & Underwriter Associate Analyst UAE National

Cigna Group

Dubai
On-site
AED 200,000 - 300,000
30+ days ago

Senior PMO Analyst: Portfolio Governance & Risk

Dautom

Dubai
On-site
AED 80,000 - 150,000
30+ days ago
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Global Security & Intelligence Analyst – Risk Insight

Control Risks

United Arab Emirates
On-site
AED 120,000 - 200,000
30+ days ago

Senior Business Analyst | Product Owner — Customs Risk

Stryker Corporation

Abu Dhabi
On-site
Confidential
30+ days ago

Junior InfoSec Analyst: Access, Incidents & Risk Basics

Robinson & Co (Singapore) Pte Ltd

Dubai
On-site
AED 70,000 - 90,000
30+ days ago
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Embedded Risk & Intelligence Analyst - Speculative Pool

Control Risks

Dubai
On-site
AED 120,000 - 200,000
30+ days ago

Strategic Insurance & Contract Risk Counsel

Parsons Oman

Dubai
On-site
AED 300,000 - 400,000
30+ days ago

Senior Consultant Financial Services - Governance, Risk and Compliance Services

KPMG Lower Gulf Limited

Dubai
On-site
AED 120,000 - 200,000
30+ days ago

Senior Consultant Financial Services - Governance, Risk and Compliance Services

KPMG Fakhro

Dubai
On-site
AED 120,000 - 200,000
30+ days ago

Senior Consultant Financial Services - Governance, Risk and Compliance Services

KPMG Lower Gulf Limited

United Arab Emirates
On-site
AED 120,000 - 200,000
30+ days ago

Senior Consultant, FS Governance & Risk Advisory

KPMG Fakhro

Dubai
On-site
AED 120,000 - 200,000
30+ days ago

Senior High-Risk Maternal-Fetal Medicine Specialist

Talentspoc

Sharjah
On-site
AED 120,000 - 200,000
30+ days ago

Autonomous Forensic Accountant - Fraud & Risk Expert

KPMG Lower Gulf Limited

Dubai
On-site
AED 120,000 - 200,000
30+ days ago

Strategic Treasury Manager: Cash Flow & Risk Expert

Michael Page

Abu Dhabi
On-site
AED 40,000 - 50,000
30+ days ago

RecruiterTalent Acquisition Specialist

Malaak Homecare

Dubai
On-site
AED 120,000 - 200,000
30+ days ago

Trader - Commodities

Gateway

Dubai
On-site
AED 180,000 - 250,000
30+ days ago

PV&BESS Performance Analyst

Ua-L&T

Sharjah
On-site
AED 120,000 - 180,000
30+ days ago
Compliance & KYC Analyst (Temporary Outsource)
ADIB Group
Abu Dhabi
On-site
AED 120,000 - 200,000
Part time
30+ days ago

Job summary

A leading financial services firm in Abu Dhabi is seeking a Compliance & KYC Analyst to ensure adherence to regulatory requirements. The role involves implementing compliance policies, conducting KYC checks, and monitoring daily trading activities. Candidates should have at least 5 years of experience in the banking sector and strong knowledge of UAE regulations. This position offers the opportunity to contribute to building a compliant and aware culture within the organization.

Qualifications

  • 5+ years of experience in banking and financial services sector.
  • Strong knowledge of UAE SCA, ADX & DFM regulations.
  • Sufficient experience in compliance banking & other related areas.

Responsibilities

  • Implement compliance regulatory rules and ADIB group policies.
  • Monitor compliance and KYC processes.
  • Conduct control testing and risk assessments.

Skills

Good knowledge of compliance functions in brokerage field
Strong communication and presentation skills
Ability to balance compliance and business needs
Fluent in English / Arabic

Education

5 Years experience in banking and financial services sector

Tools

Microsoft Office
Job description

Role: Compliance & KYC Analyst (Temporary Outsource)

Location: Abu Dhabi

Employment Type: Temp

Vacancy: 1

Role Purpose
  • Implementing ADIB Securities strategic and performance objectives by complying to regulatory requirements and internal policies.
  • Enhancing compliance environment by interpreting and implementing the regulatory framework for ADIB Securities and improving conducting KYC and daily monitoring controls testing activities.
  • Implementing and monitoring compliance regulatory rules and ADIB group policies.
Key Accountabilities of the role
  • Contributes in review and renew policies and procedures for ADIB Securities departments; Compliance operations brokerage and customer services.
  • Providing compliance advice in KYC regulatory & anti money laundering regulations to all departments in matters related to trading transactions and accounts onboarding.
  • Highlighting regulatory requirements deviations from policy & incorporating the initiatives in policy & procedures under review.
  • Ensuring new and existing Regulatory Compliance policies and procedures meet a standard of excellence; Handling daily checklist of compliance monitoring duties ensuring all lines / departments are complying with ADIB Securities Markets and SCA related rules.
  • Monitoring Margin Trading Clients daily positions.
  • Applying regulatory requirements on the following areas.
A Internal Control & Risk Management Duties
  • Checking the recording system on a daily basis.
  • Reviewing and matching daily aging report (receivables and payables) with financial system.
  • Verifying mails registration system / procedures for inward and outward items from SCA & markets.
  • Verifying of clients complaints ensuring that it is managed according to SCA regulations.
  • Preparing and handling control testing and risk assessment checklist on a quarterly basis.
  • Attending markets and SCA questionnaires and liaising annual membership renewing cycles.
  • Perform quarterly control testing & risk assessment ensuring the identification of new and emerging risks from business and regulatory developments.
  • Follow up with brokers / RMs and trading managers for margin trading clients who are below maintenance margin 30% level.
B Monitoring Duties
  • Monitoring client services activities in classifying new clients as (regular client PEP or nominal) applying KYC roles. Daily sample monitoring of the required IDs documents and its validity signature online trading file archiving system.
  • Assess the completeness and quality of initial Know Your Customer (KYC) documentation for new customers.
  • Check in agreed random sample basis trading issues such as order receiving method (order archiving recording system / calls emails fax and online trading); randomly verifying for daily trade log placed cancelled partially and fully executed orders and quality of the recorded calls.
  • Verifying availability of approvals for employees and insiders (if any).
  • Run and review daily monitoring reports: suspicious trades report, daily activities report, TWS report, employees trades report, high risk transactions report, PEP transactions report, OD exception report, Bloomberg chats report.
  • Conduct monthly margin shares reconciliation with CS team.
C Regulatory and Financial Reporting Duties
  • Ensure submitting of regulatory reports: segregation of clients cash capital adequacy report, margin monthly report, dormant monthly report, and employees trading report to SCA in monthly basis and ensure comply with the deadline.
  • Following up for aging balances and margin trading accounts reports; ensure submitting to SCA within deadline.
  • Follow up submitting monthly quarterly and annually ADIB Securities financial statements to SCA.
  • Follow up and handling weekly reporting to financial markets and follow up all compliance related communications with the regulator and the financial markets.
AIMS
  • Proactively safeguarding ADIB Securities assets and its customers from risks that can counterpart e.g. reputational, credit and market risks compliance and legal risks.
  • Conduct control testing then manage and mitigate reputation and operational risks that might lead to losses.
  • Help in building compliance culture by increasing awareness and updated knowledge on the AML issues throughout all ADIBs staff. Participate / support in the delivery of annual compliance training.
  • To contribute in ensuring the effectiveness of the compliance program / manual and proper identification and timely reporting of any unusual / suspicious cases.
  • To ensure coordination with internal party (ADIB) & external parties in applying / compliance with rules and regulations and competing money laundering.
  • To respond to all queries raised by departments / branches in a proper & timely manner on compliance issues.
Specialist Skills / Technical Knowledge Required for this role
  • Good knowledge of compliance functions in brokerage field.
  • Sufficient experience in compliance banking & other related areas. Audit and legal background is an added value.
  • Strong knowledge of the UAE SCA ADX & DFM regulations and rules.
  • Strong knowledge of brokerage products policies & procedures.
  • Excellent communication and presentation skills.
  • Ability to balance between compliance requirement business needs and potential risks.
  • Computer skills use of applications especially Microsoft Office.
  • Fluent in English / Arabic.
Previous Experience Required

5 Years experience in banking and financial services sector (preferably in Back office or Operation).

Required Experience

IC

Key Skills

Abinitio, Apprentice, Dermatology, Cost Estimation, Data Networking, Liaison

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* The salary benchmark is based on the target salaries of market leaders in their relevant sectors. It is intended to serve as a guide to help Premium Members assess open positions and to help in salary negotiations. The salary benchmark is not provided directly by the company, which could be significantly higher or lower.

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