AVP, Asset Management Middle Office — Performance & Risk

QNB Group

Doha

On-site

QAR 550,000 - 900,000

Full time

2 days ago
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Job summary

QNB Group is seeking an experienced AVP, Asset Management Middle Office to analyze portfolio performance and risk, prepare client reports, and support benchmark comparisons. The role emphasizes accuracy, automation, and compliance, coordinating with investment teams and controls functions in a large MEA bank.

The candidate will use advanced Excel, SQL, and BI tools to deliver timely insights, improve dashboards, and support internal and external reporting under GIPS-like standards.

Qualifications

  • Bachelor’s degree in Finance, Mathematics, Economics or related quantitative field.
  • CFA Level I or CIPM preferred.
  • 10+ years in performance analysis, risk attribution, or investment operations.

Responsibilities

  • Calculate portfolio performance and risk across asset classes and benchmarks.
  • Prepare client performance reports and conduct attribution analyses.
  • Develop automation, dashboards, and data pipelines with Excel, SQL, and BI tools.
  • Ensure reporting complies with required standards and governance.

Skills

Communication
English & Arabic
Data interpretation
Reporting
Stakeholder management

Education

Bachelor’s degree in Finance/Mathematics/Economics
CFA Level I or CIPM preferred

Tools

Excel
Python
SQL
Power BI
Tableau

Job description

QNB Group is seeking an experienced AVP, Asset Management Middle Office to analyze portfolio performance and risk, prepare client reports, and support benchmark comparisons. The role emphasizes accuracy, automation, and compliance, coordinating with investment teams and controls functions in a large MEA bank.

The candidate will use advanced Excel, SQL, and BI tools to deliver timely insights, improve dashboards, and support internal and external reporting under GIPS-like standards.

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