Senior Market Risk Analyst job at KCB Bank Kenya
Website :
581 Days Ago
Linkedid Twitter Share on facebook

Vacancy title:
Senior Market Risk Analyst

[ Type: FULL TIME , Industry: Banking , Category: Data Science / Research ]

Jobs at:

KCB Bank Kenya

Deadline of this Job:
01 May 2023  

Duty Station:
Within Kenya , Nairobi , East Africa

Summary
Date Posted: Wednesday, April 19, 2023 , Base Salary: Not Disclosed

Similar Jobs in Kenya
Learn more about KCB Bank Kenya
KCB Bank Kenya jobs in Kenya

JOB DETAILS:

Job Description
Coordination, preparation, development of risk management reports including powerpoint presentations and dashboards to facilitate presentation to senior management, ALCO/EXCO for predictive analysis and decision making
Review, development and Implementation of Market, Liquidity and Country Risk Policies and Limit Documents
Contribute to enterprise-wide risk management of the bank for better understanding and action
Daily, weekly, monthly and periodic reporting as
Development of new market risk initiatives
Provide Market Risk support of the products traded in a treasury/derivative environment and the treasury processes (Treasury Front Office (TFO), Middle Office, Back Office, Risk)

Key Responsibilities
Preparation, Coordination, Analysis and Reporting:

• Coordination and preparation of ICAAP reporting to senior management and CBK
• Coordination and preparation of statutory Liquidity Coverage (LCR) and Net Stable Funding (NSFR) ratios of the bank Liquidity Gap – Basel III reporting
• Coordination and preparation of Market Risk board reports
• Coordination and preparation of monthly or adhoc ALCO and quarterly GALCO reports
• Preparation and analysis of business cases to support management decision making
• Proactively identify adverse risk events to ensure risks are adequately managed to avoid losses on crystalisation and preparing Early warning reports
• Coordinate and participate in business partnership meetings as and when required
• Support TFO by participating in New Product roll outs and ensuring the necessary process infrastructure with focus on related risks
• Guidance in the production of risk versus return analysis for the respective Treasury products to obtain optimal market risk portfolio, risk-transfer strategies which ensure compliance with the risk tolerance and maximize economic value.
• Utilization of statistical forecasting techniques to predict movements in market factors and use this information to develop meaningful scenarios and stress tests for scenario analysis and stress testing.
• Providing support and training the junior market risk analysts across the Group.
• Profit & loss attribution analysis, price verification and liaison with Finance and Treasury on P&L reconciliation of reported results.
• Support the MTM process by ensuring that the MTM sources are updated and reflective of market rates/prices
• Assist in maintaining a control framework to ensure compliance with internal policies, procedures, BASEL requirements, Codes, and applicable external laws and regulations

Administration:
• Preparation of annual unit budgets plans
• Liaison person with Finance for Risk Management Division budgetary issues
• Preparation of business cases for non-budgetary but required items of emerging risk issues.
• Development, monitoring, reporting and review of SLAs between the unit and its partner departments
• Business continuity planning

Policy Development and Review:
• Development and review Market Risk, Liquidity Risk and Country Risk Policies for ALCO and Board approval and thereafter maintaining the Market Risk Limits document with approved limits for business use.

The Person
For the above position, the successful applicant should have the following:

• A bachelor's degree in a quantitative field.
• A professional certification in FRM / PRM / ACI
• At least 8 years’ experience in a similar role or related field.
• At least 3 years’ experience in the following areas;
• Reports/ presentations
• Understanding or risk exposures
• Risk and Financial Analysis
• Risk and P&L calculation monitored against utilization of capital.
• Management experience
• To be considered your application must be received by Monday 1st May 2023


Work Hours: 8


Experience in Months: 96

Level of Education:
Bachelor Degree

Job application procedure

Interested and qualified? Click Here to Apply


All Jobs

QUICK ALERT SUBSCRIPTION

Job Info
Job Category: Data, Monitoring, and Research jobs in Kenya
Job Type: Full-time
Deadline of this Job: 01 May 2023
Duty Station: Nairobi
Posted: 19-04-2023
No of Jobs: 1
Start Publishing: 19-04-2023
Stop Publishing (Put date of 2030): 19-04-2067
Apply Now
Notification Board

Join a Focused Community on job search to uncover both advertised and non-advertised jobs that you may not be aware of. A jobs WhatsApp Group Community can ensure that you know the opportunities happening around you and a jobs Facebook Group Community provides an opportunity to discuss with employers who need to fill urgent position. Click the links to join. You can view previously sent Email Alerts here incase you missed them and Subscribe so that you never miss out.

Caution: Never Pay Money in a Recruitment Process.

Some smart scams can trick you into paying for Psychometric Tests.