Senior Market Risk Officer

Confidential   عمان - الأردن  تاريخ النشر:2026/10/06   سجلي الدخول للتقدم

Responsibilities

  • Monitor and assess the Bank’s market risk exposures against approved limits and risk appetite.
  • Analyze market risks arising from FX, interest rates, fixed income, equities, and other financial instruments.
  • Monitor VaR, stress testing, sensitivity analysis, and limit utilization.
  • Identify emerging risks and escalate breaches or significant exposures.
  • Prepare market risk reports and analysis for senior management and risk committees.
  • Review Treasury and investment positions from a market risk perspective.
  • Ensure compliance with regulatory requirements and market risk policies.
  • Support the enhancement of market risk methodologies, systems, and reporting.

Qualifications

  • Bachelor’s degree in Finance, Economics, Mathematics, Statistics, Banking, or a related field.
  • 3–6 years of relevant experience in Market Risk, Treasury Risk, Financial Risk, or a related field, preferably in banking.
  • Strong knowledge of market risk, financial instruments, VaR, stress testing, and risk limits.
  • Good understanding of FX, interest rates, fixed income, equities, and derivatives.
  • Strong analytical, quantitative, and problem-solving skills.
  • FRM, CFA, PRM, or equivalent certification is an advantage.
المهارات المطلوبة
  • Core Banking
تفاصيل الوظيفة
  • الموقع عمان - الأردن
  • القطاع المحاسبة والمالية
  • نوع الوظيفة دوام كامل
  • الدرجة العلمية بكالوريوس
  • الخبرات 5
  • الجنسية غير محدد
سجلي الدخول للتقدم

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