Qualifications and Experience:
- BSc honours or Masters
- Knowledge of financial products.
- Excellent IT skills.
- 2 years’ minimum market risk experience
Key Responsibilities:
- Distribution and submission of daily risk reports.
- Improve and implement a control environment.
- Regulatory reporting
- Ensure that modelling of products is still in line with risk requirements.
- Timely escalation of potential risk.
- Stakeholder management.