Senior Manager-FRM
FRM-Financial Risk Management
Location: Kuwait
Requirement:
-Experienced in planning and execution of Financial Risk Management projects covering the following in banks/financial institutions
( a) Credit risk, Market risk, Operational Risk, liquidity and Asset liability management projects
(b) Experienced in Basle initiatives
( a) Credit risk, Market risk, Operational Risk, liquidity and Asset liability management projects
(b) Experienced in Basle initiatives
(c) Experienced in set up and design of Risk management process/functions
(d) Experienced in RAROC/economic capital measurement
(e) Experienced in developing policies and procedures covering Credit risk, Market risk, Operational Risk, liquidity and Asset liability
-Should be interested in consulting assignments focused mainly on financial institutions (banks, regulators, asset managers, insurance)
-Should be able to scope, develop proposals and deliver medium to large engagements relating to the above mentioned areas.
-Should be able to scope, develop proposals and deliver medium to large engagements relating to the above mentioned areas.
Academic qualifications:
-CA/MBA from Premier Institute with 7+ yrs experience.
-Certified Financial Risk Manager (FRM) – through the Global Association of Risk Professionals (GARP) or/ and
-Certified Financial Risk Manager (FRM) – through the Global Association of Risk Professionals (GARP) or/ and
-Certified Financial Analyst (CFA) – through the Association for Investment Management and Research (AIMR)
-Basel II implementation experience preferred
The candidate should preferably have some industry experience having worked on similar projects with Banks/financial institutions. Candidates with Industry / consulting experience in the subject matter mentioned above will be preferred.
Interested may send your profiles with current CTC details to: preambojan@gmail.com