Job description:
- Provide hands-on development of risk models involving market, credit and operational risks, assure controls are operating effectively and provide research and analytical support;
- Identify financial, safety or security risks that the Group may face;
- Prepare action plans to decrease risk factors;
- Make risk-avoiding adjustments to current methods of operation in order to minimize their future risks;
- Create reports, summaries, presentations and process documents to display consolidated results;
- Develop systems and processes for gathering and storing data for future analytic projects;
- Provide training and certification for organization staff so that they can be aware of risks and try to avoid them.
Requirements:
- Degree in Finance;
- At least 5 years of industry experience
- Risk Management Certificates are an advantage (FRM, PRM);
- Knowledge of industry specific Laws, standards and regulations
- Knowledge of market base in the areas of operations
- Good analytical and Root cause analytical skills
- Excellent communication skills, both written and spoken;
- Ability to handle private, sensitive, confidential information appropriately;
- Good command of English and Russian languages;
- Advanced level in Microsoft Excel.
Working ours from 09:00-18:00, 5 days a week.
If you are interested, please submit your CV by specifying the Job Title in the subject line.
Only short listed candidates will be contacted.
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