AVP, Middle Office - Collateral Management (UAE Nationals Only)
Minimum Qualification
- Bachelor’s degree in Finance or Economics.
- Professional certification like FRM or CFA would be an added advantage
Minimum Experience
- 5 years’ relevant experience in the banking sector with at least 2/3 years in similar positions in the Market Risk or Treasury function.
Other essential requirements
- Experience of having extensively worked on Murex platform for market risk management.
- Knowledge of financial markets and multiple assets classes (Fx, fixed income, equities, commodities)
- Ability to work accurately under pressure to tight deadlines.
- Strong inter-personal skills in order to interact confidently with senior management