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Nairobi, Kenya

2 weeks ago

Job Description

The role will support coordination and implementation of the Group’s market, liquidity and country risk management policies and processes. The role will be expected to support the identification and evaluation of market, liquidity and country risks.

Required Knowledge, Skills, and Abilities

  1. Experience of at least 5 years in of relevant professional experience in banking and/or financial markets
  2. Exposure to Treasury Front Office/Back Office and General Ledger reporting systems
  3. Fluency in English, with excellent oral and written communication skills
  4. Proficiency in Excel to maintain, improve and develop reporting tools
  5. Good understanding of Market Risk concepts and metrics (VaR, NII, scenario analysis, risk sensitivities, etc
  6. ), and governance frameworks
  7. Professional designation in CPA or ACCA will be viewed favourably

Education + Experience

  1. Degree in Economics, Finance, , Mathematics, Actuarial Science or similar Post graduate qualifications such as CFA and MBA will be an added advantage