Market Risk Specialist at Polaris Bank Limited

Job Overview

Location
Lagos, Lagos
Job Type
Full Time
Date Posted
2 years ago

Additional Details

Job ID
69253
Job Views
126

Job Description



Summary:



  • We are seeking a highly motivated and experienced Market Risk Specialist to join our dynamic Risk Management team.

  • The ideal candidate will possess a strong understanding of market risk principles and experience in applying quantitative modeling techniques to assess and manage various market risk exposures.

  • They will play a critical role in ensuring the bank's compliance with regulatory capital requirements and contribute to the development and implementation of effective risk management strategies.


Key Responsibilities:


Risk Monitoring and Analysis:



  • Monitor and analyze market risk exposures, including interest rate risk, foreign exchange risk, and commodity price risk.

  • Conduct regular stress testing and scenario analysis to identify potential vulnerabilities and assess the impact on the bank's portfolio.


Reporting and Communication:



  • Prepare and present comprehensive market risk reports to senior management and relevant stakeholders.

  • Communicate key risk metrics and trends effectively, providing insights that support decision-making processes.


Risk Modeling:



  • Develop and enhance market risk models to accurately measure and predict potential risks.

  • Ensure compliance with regulatory requirements by staying abreast of industry best practices and regulatory changes.


Policy and Procedure Compliance:



  • Ensure adherence to internal risk policies, procedures, and regulatory guidelines.

  • Collaborate with other departments to implement risk management best practices across the organization.


Collaboration:



  • Work closely with traders, portfolio managers, and other relevant teams to understand business strategies and identify emerging risks.

  • Provide risk expertise and support in the development and implementation of new financial products.


Continuous Improvement:



  • Identify opportunities for process improvement within the market risk function.

  • Contribute to the development and enhancement of risk management tools and methodologies.


Requirements


Qualifications:



  • Bachelor's degree in Finance, Economics, Mathematics, or a related field.

  • 4-6 years of experience in market risk management within the banking or financial services industry.

  • Solid understanding of financial instruments, derivatives, and risk measurement techniques.

  • Familiarity with relevant regulatory requirements and industry standards.

  • Strong analytical and quantitative skills, with proficiency in risk modeling and statistical analysis.

  • Excellent communication and presentation skills.

  • Relevant professional certifications (e.g., FRM, CFA) will be an added advantage.


Benefits



  • Competitive salary and benefits package.

  • Opportunity to work with a team of experienced and dedicated professionals.

  • Chance to make a significant impact on a leading Nigerian bank's risk management practices.

  • Professional development and training opportunities.

  • Work in a dynamic and fast-paced environment.


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