•Middle office trading, such as pre- approval, trade verification, product control, parameter setting; •Market risk management, such as identify, measure, monitoring, stress test of foreign exchange and interest rate risk; •Liquidity risk management, suck as calculation and monitoring of regulatory indicators, stress test; •Participation in other types of risk management, such as enterprise risk, country risk, operational risk, reputational risk; •Other relevant tasks assigned by the Head of Department. Responsibilities: •Provide high - quality support and dealing by front office. •Ensure all the applicable risk under control and all indicators within limits; •Assess the risk profile, closely monitor the exposure, identify the deficiencies and fix or mitigate it •Prepare and submit relevant reports for risk management and monitoring purposes;•Complete, accurately, and timely perform other tasks assigned by the Head of Department.
•Job Title: Assistant Risk Manager •Type of role: Full Time •Position Level: Jr Executive •Required years of Experience: 1-3 years•Job specialization: Financial market and Risk Management •Work Location: Doha - Qatar •Desired Starting Date: ASAP•Probation Period: 6 months •Interactions: Reporting to Head of Department, partner with one team mate •Preferred University Subjects: Finance, Banking, Accounting or Statistics, Math •Nature of the role: Risk Specialist •University Qualifications: at least Bachelor's Degree •Other Certifications obtained: FRM, CFA, ACCA preferred •Soft Skills: Self driven, communication skills, analytical thinking, solution provider •Language Fluency Preferences: Fluent in English, reading and writing is a MUST. Mandarin is a great plus.