Market Risk - Vice President Dubai Venture search Full time
Description
Market Risk - Vice President Venture search Dubai, United Arab Emirates Apply now Posted 5 days ago In-Office Job Permanent Dependent on experience We are currently representing a reputable bank who are looking for an experienced risk management professional to join their team as VP Market Risk and Treasury Middle Office. This role will be responsible for overseeing market risk, ensuring regulatory compliance, and supporting investment and treasury activities. VP Market Risk and Treasury Middle Office Location: Dubai We are currently representing a reputable bank who are looking for an experienced risk management professional to join their team as VP Market Risk and Treasury Middle Office. This role will be responsible for overseeing market risk, ensuring regulatory compliance, and supporting investment and treasury activities. Key Responsibilities: -Independently value financial instruments across FX, commodities, derivatives, fixed income, and equities.-Monitor trading and investment policy limits, escalating breaches where necessary.-Conduct daily P&L attribution analysis across various asset classes.-Implement market risk stress testing frameworks.-Assess and monitor Value at Risk (Va R) for trading and banking books.-Lead internal CVA modelling and ensure regulatory compliance.-Conduct model risk assessments and independent validation. Treasury Middle Office Responsibilities: -Oversee collateral management, including daily margin calls.-Support counterparty risk management and market risk appetite framework development.-Enhance MIS reporting automation and contribute to treasury system upgrades.-Prepare market risk dashboards and communicate insights to senior management. Key Requirements: -Strong analytical and problem-solving skills.-Excellent communication and presentation abilities.-In-depth knowledge of financial markets and risk management frameworks.-Ability to work effectively in a fast-paced environment.-Experience in risk modelling and valuation techniques. Qualifications & Experience: -Education: Bachelor's degree in Commerce, Engineering, Data Science, Finance, or related fields. Professional certifications (FRM, CFA, or CA) – advantageous-Experience: Minimum 6years in market risk and treasury middle office.-Technical Skills: Knowledge of programming languages (Python, C++, SQL) is an advantage. To apply, please submit your CV and cover letter outlining your relevant experience. Please note that due to the high volume of applications, only shortlisted candidates will be contacted. We are committed to working in collaboration with forward-thinking businesses to deliver high-performing, sustainable recruitment solutions to assembl... Boost your career Find thousands of job opportunities by signing up to e Financial Careers today. #J-18808-Ljbffr
Posted: 4th July 2025 6.50 am
Application Deadline: N/A