Job Purpose:
Lead the quantitative analytical functions for the Finance Complex on financial sustainability and projections analyses, credit rating analyses, Sovereign pricing, performance measurements, benchmarking and for the management of balance sheet and asset-liability management. This entails being the focal point for the development of quantitative methodologies and models to support the financial analytical function. It also entails provide the required analytical support for the formulation of financial policies and for the product development unit.
Academic and Professional Qualifications:
• Master's degree in Mathematics, Econometrics, Financial Management, or related field.
• Certification in FRM, PRM or CFA is preferred.
• Minimum 10 years of experience in financial management, financial modelling, risk management and related fields. Investment banking and pricing policies experiences are preferred.
Skills & Necessary Knowledge
• Adaptability
• Building Relationships
• Client Centricity and Responsiveness
• Motivation to Learn and Share
• Passion for Excellence
• Analytical Thinking
• Communication Effectiveness
• Drive for Results
• Knowledge, Learning and Communication
• Problem Solving
• Stakeholder Management / Client Orientation
• Teamwork
• Financial Management
• Financial modeling
• Bank Knowledge
• Statistical Analysis, Modeling and Reporting
• Strategic Planning
Languages
English - Mandatory
Arabic - Preferred
French - Preferred
You will be redirected to the company website to apply for this position