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Senior Service Owner- Back Office & Finance

1.00 to 10.00 Years   Abu Dhabi, United Arab Emirates   06 Apr, 2022
Job LocationAbu Dhabi, United Arab Emirates
EducationNot Mentioned
SalaryNot Mentioned
IndustryOther Business Support Services
Functional AreaNot Mentioned

Job Description

Company DescriptionWith Global Markets becoming one of the most regulated and scrutinized departments of financial institutions, the risk department has grown to play a vital role in ensuring constantly evolving regulations and ever-increasing controls are in place. This in returns translates into a requirement to have a very strong candidate leading the Risk Service practice within the Global Markets Service team to help deliver the level of technology support and sophistication such department requires.With Global Markets becoming one of the most regulated and scrutinized departments of financial institutions, the risk department has grown to play a vital role in ensuring constantly evolving regulations and ever-increasing controls are in place. This in returns translates into a requirement to have a very strong candidate leading the Risk Service practice within the Global Markets Service team to help deliver the level of technology support and sophistication such department requires.Specific Accountability

  • Work closely with business in identifying, developing and executing a roadmap to implement risk solutions for the next 3-5 years, considering ongoing regulatory changes and impacts
  • Lead the Risk service team of Global Markets into closing all the backlogs of issues and change requests
  • Assist the team into increasing its productivity by 40% at least by implementing structured procedures and developing KPIs
  • Identify areas of improvements and opportunities to reduce costs, both on business as well as technology side, through increased automation, process enhancements, implementing innovative solutions, etc.
QualificationsMinimum Qualification
  • The candidate should possess either a postgraduate degree or qualification in Information Systems / Engineering / Business Administration.
Minimum Experience
  • Minimum 10 years of experience in supporting and developing systems for the risk teams of Global Markets
  • The candidate should carry a minimum relevant work experience in a Bank or I.T. Company for a minimum of 10 years.
  • Sharp knowledge of the risk functions, systems and processes related to Global Markets such as credit exposures, VaR, xVA, collateral management (IM & VM), stress-testing, CCR, RWA, etc.
  • Acute understanding of the different risk-related regulations such as EMIR Initial Margin, SA-CCR, FRTB etc.
  • Experience in implementing and supporting risk solutions within large financial institutions for credit and market risk
  • Excellent knowledge of Global Markets products and processes, front to back
  • Proven record of managing large scale risk systems for Global Markets
  • Strong record leadership skills in managing and developing a team

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