5 Financial Administration jobs in Manama
Director of Financial Risk Management
Posted 2 days ago
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Job Description
You will lead a team of risk professionals, setting clear objectives, providing guidance, and fostering a culture of risk awareness and compliance. This involves designing and implementing risk models, stress testing scenarios, and capital adequacy assessments. You will collaborate closely with senior management, the board of directors, and regulatory bodies to ensure robust risk governance and reporting. Proactively staying ahead of market trends, regulatory changes, and emerging risks is crucial. Your ability to translate complex risk concepts into clear, actionable insights for diverse audiences will be key.
The ideal candidate will possess extensive experience in financial risk management, preferably within the banking or investment sectors. A strong understanding of financial markets, quantitative analysis, and regulatory requirements (e.g., Basel Accords) is essential. You will need exceptional leadership, strategic thinking, and communication skills to effectively manage a remote team and influence key stakeholders. Proven experience in developing and presenting risk reports to executive levels and regulatory authorities is mandatory. Join our esteemed organization and play a critical role in safeguarding our financial health and stability. The **job location** is remote, supporting our global financial operations.
Principal Quantitative Analyst - Financial Risk Management
Posted today
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Senior Financial Analyst - Risk Management
Posted 4 days ago
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Senior Financial Analyst (Risk Management)
Posted 5 days ago
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Job Description
Responsibilities:
- Develop and implement comprehensive financial risk assessment models and methodologies.
- Analyze financial statements, market data, and economic trends to identify and quantify potential risks (e.g., credit risk, market risk, operational risk, liquidity risk).
- Monitor key risk indicators (KRIs) and ensure adherence to internal policies and external regulations.
- Prepare detailed risk reports and presentations for senior management and relevant committees.
- Collaborate with various departments to understand their risk profiles and provide guidance on risk mitigation strategies.
- Develop and implement internal controls to manage and reduce identified risks.
- Stay informed about changes in financial regulations and their impact on the organization's risk landscape.
- Conduct scenario analysis and stress testing to evaluate the organization's resilience to adverse market conditions.
- Contribute to the development and maintenance of the company's risk management framework.
- Assist in the preparation of regulatory filings related to risk management.
This is a fully remote position, requiring exceptional analytical skills, strong communication abilities, and the capacity to work independently. You will be expected to manage multiple priorities and deliver high-quality analysis in a timely manner. A Bachelor's degree in Finance, Economics, Accounting, or a related field is required. A Master's degree or relevant professional certifications (e.g., FRM, CFA) are highly preferred. A minimum of 5 years of experience in financial analysis, with a significant focus on risk management within the banking or financial services sector, is essential. Join our client's leading financial institution and play a key role in safeguarding their financial stability, working remotely.
Senior Financial Analyst - Risk Management
Posted 6 days ago
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Job Description
Key Responsibilities:
- Conduct comprehensive analysis of financial risks, including market risk, credit risk, operational risk, and liquidity risk.
- Develop, implement, and maintain risk models and methodologies.
- Monitor and report on key risk indicators (KRIs) and compliance metrics.
- Prepare detailed risk assessment reports for senior management and regulatory bodies.
- Collaborate with various departments to identify, assess, and manage financial risks.
- Ensure compliance with relevant financial regulations and internal policies.
- Perform stress testing and scenario analysis to evaluate the company's resilience to adverse market conditions.
- Contribute to the development and enhancement of risk management frameworks and policies.
- Stay informed about industry best practices and emerging trends in financial risk management.
- Provide training and guidance to junior analysts on risk management principles.
- Bachelor's degree in Finance, Economics, Mathematics, Statistics, or a related quantitative field. Master's degree or MBA is a plus.
- Minimum of 5 years of experience in financial analysis, with a significant focus on risk management within the banking or financial services industry.
- Proven expertise in financial modeling, quantitative analysis, and statistical techniques.
- In-depth knowledge of financial regulations (e.g., Basel III, Dodd-Frank).
- Proficiency in financial software and tools, including Excel, statistical software (e.g., R, Python), and financial databases.
- Excellent analytical, problem-solving, and decision-making skills.
- Strong written and verbal communication skills, with the ability to present complex information clearly and concisely.
- Ability to work independently and collaboratively in a fast-paced environment.
- Relevant professional certifications (e.g., FRM, CFA) are highly desirable.
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