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Senior Manager - Risk - FSRM

Ernst & Young
Abu Dhabi, United Arab Emirates
Posted 5 years ago
28People have clicked1 open position
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Job Details

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Job Description

Your key responsibilities

As a FSRM Senior Manager, you'll technically contribute to and lead FS Risk Management engagements. You will work effectively as a team leader having the responsibility, providing support, maintaining communication, and updating engagement directors and partners on progress. You'll also build valuable relationships with external clients and internal peers. In addition, you'll contribute to presentations and provide inputs to proposals.

Skills and attributes for success

  • Delivering financial risk transformation programs domestically and/or internationally.
  • Ability to analyse current state reporting and the complex knowledge associated with it (requirements, data/reporting solutions and operating model).
  • Broader experience in Finance and Data type reporting projects; IT and Financial accounting knowledge in order to bridge the gap between the Business and IT.
  • Ability to profile and interpret data constructs into relevant business constructs.
  • Self-motivated with lots of energy and drive.
  • Ability to lead teams and projects, communicate and influence customers, resolve situations and issues, work under pressure
  • Ability to learn quickly, explore new opportunities, ideas

Job Requirements

To qualify for the role you must have

  • 10+ years of strong FSRM/Quantitative analysis experience within the leading FI organizations or Consultancy firms
  • Ideally a ‘numeric’ based academic studies (i.e. math, stats, engineering, financial maths, etc), but not a must if relevant experience and/or professional qualifications are there.
  • Experience in Quantitative Analytics, Treasury & Treasury Operations, Investments, Market Risk Models, Performance Measurement, ALM/FTP, Liquidity Analysis, Financial Planning and forecasting, Capital and RWA Management and Optimization, Risk Appetite.
  • Experience in Economic Capital Modelling, Economic Analysis, Data Analytics, Design and implementation of ERM solutions, Deployment and Integration of Risk Analytics into the Business processes, etc
  • Prior exposure to credit risk, market risk, liquidity risk and operational risk
  • Previous experince in developed markets (EU, Canada, Australia, Hong Kong, Singapore, etc) and with some presence or connection to MENA will be preferred
  • Strong educational background from a top institution, quantitative/ finance/ economics/ actuarial program
  • Experience in working in a project-based, team-oriented environment, ideally consulting, with a proven track record of managing teams and delivering in fast-paced and demanding environments
  • A credit life cycle understanding, and experience in credit rating & analysis and approvals process
  • Excellent analytical, report-writing, facilitation and presentation skills

Ideally, you’ll also have

  • Experience in analytical and risk management tools/systems (e.g. SAS, Murex, VBA, MATLAB)
  • Professional certifications in FRM, CFA, PMP, PRM
  • Willingness to travel extensively across the region

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JobsAccounting/FinanceSenior Manager - Risk - FSRM