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
 
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