Job Title: Market Risk Manager
Stanbic Bank Uganda is looking for inspired individuals to connect and transform lives in Uganda .
Accountabilities
Daily risk reporting , analysis and commentary including weekly review of bank testing failures. This includes VaR proxy decisions , collating of historic data , discussion of risk positions reviewing of limits based on liquidity , design and implementation of appropriate market risk reports , reporting to ALCO, Economics capital reporting etc
Ensuring the accuracy of the Mark-to-market pricing models and liaison with Market risk methords for assistance on quantitative matters .
Limit and trigger monitoring .
Supporting the bank’s New Product Process by participating in the New Product roll outs
Profile
ACCA and /or Quantitative degree
2-3 years post university work experience . Exposure to treasury /derivative products , project management and IT will be beneficial . An understanding of the objectives and operations of Market.
Risk Department or ALM Department would be an advantage
Good understanding of the products traded in a treasury /derivative environment and the treasury processes
Ability to multi task, network and to be able to communicate with people at different levels
Analytical with good planning and problem solving skills
Strategic as well as an operational thinker and implementer
How to apply
To apply , please send your application and CV to; Stanbicugrecruitment@stanbic.com or Head of Human Resources
6th Floor, Short Tower , Crested Towers, Stanbic Bank Uganda Limited
P. O. Box 7131, Kampala
Deadline: 05 /09 /2013
Tuesday, 3 September 2013
Market Risk Manager Job Vacancy at Stanbic Bank Uganda in Kampala
Posted on 08:24 by Unknown
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