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Risk And Control Manager - Treasury Ops - Abu Dhabi - Huxley Associates

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Our Client a leading local Bank in the UAE are looking to hire a Control & Risk Manager to be based in Abu Dhabi, This is a great opportunity to join a top-tier Bank in a growing economy.



Title: Control & Risk Manager.

Client: Leading Local Bank

Department/Unit: Treasury Middle Office

Reporting to: Head of Treasury Middle Office

Location:Abu Dhabi- UAE

Salary: Competitive







Job Responsibilities:





- Relationship maintenance with external Banks for collateral management functions.



- Liaise with key internal partners including (but not exclusively), Treasury, FID Legal, Back Office Treasury Sales Team, WBG, Relationship Managers and IT.



- Ensures adherence to ADCB internal policy.



- Ensure that the bank's Treasury & Investment market, credit and limits management policy is adhered to by T&I Group and that breaches of limits are escalated in the appropriate manner.



- Ensure the compliance of T&I trading activities to internal and external regulatory guidelines and ensuring that T&I support units also adhere to regulatory guidelines where relevant.



- To ensure that all CSA Treasury products are able to be captured and valued accurately and processed in a controlled manner and maintain relationships with external counterparties.



- Ensures timely and accurate reporting of all breaches.



- Provides management information and reports accurately and on time.



- Ensures that transaction life cycle event processes have been undertaken through control process, reconciliation and exception based reporting.



- Ensures that Collateral Margin and Exchange Traded Derivative Margin process is undertaken and completed in a segregated and controlled environment.



- Actively assist Murex implementation across all desks for Limit monitoring.



- To participate and contribute to any ongoing project, in relation to the Treasury & Investments Group across Middle Office.



- Ensure all user system access, across Front/Middle and Back offices, is controlled, monitored and accurate, to business role requirements.







Requirements:



- University Degree in Business related field required. MBA is preferred.



- 5-7 years banking knowledge of Treasury Operations with emphasis on Treasury Risk Management and Monitoring and strong process control ethic.



- Strong Risk background.



- Work experience in following systems will be an advantage: Murex, Flexcube, Bloomberg.



- Strong MS Excel, Word skills.



- A good knowledge of banking and financial systems is required.



- Demonstrate a high level of self motivation, drive and analytical skills to achieve department goals.



- Team player with self starting and interpersonal skills.

- Good communication skills.



- Mentor, supervise and develop staff.



- Introduce change and control by being actively engaged in day to day process.



- Excellent knowledge of Treasury products, transactions and relevant regulatory regulation.



- Excellent business analysis skills are required.





If you meet the above criteria, then please reply with your latest CV



If you know friends or colleagues that are suitable, feel free to refer them or share their contact details with me. Sthree UAE is acting as an Employment Agency in relation to this vacancy.

تفاصيل الوظيفة

2013-12-09تاريخ الإعلان عنها:
أبو ظبي, الإمارات العربية المتحدةمنطقة الوظيفة:
غيرذلكالدور الوظيفي:
محاسبة ومراجعةقطاع الشركة:

المرشح المفضل

طالب/متدرّبالمستوى المهني:

تقدم الآن - وظائف في الإمارات - وظائف في أبو ظبي, الإمارات العربية المتحدة - وظائف في دبي, الإمارات العربية المتحدة - وظائف غيرذلك في الإمارات - بحث عن جميع الوظائف


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