Officer, Operation Risk

Organization
Arab Monetary Fund
Opening Date
-

 

Job Purpose:

The Officer, Operation Risk is responsible for monitoring, assessing, and reporting market risks related to AMF’s investment portfolios, treasury activities, and financial exposures. The role ensures effective risk measurement, compliance with limits, and timely reporting to support informed decision-making. It contributes to the enhancement of AMF’s risk framework by analyzing market trends, evaluating portfolio sensitivities, and implementing best-practice risk controls.

Roles and Responsibilities

Key Accountabilities

  • Monitor market risk exposures across portfolios, including interest rate, FX, equity, and price risks.
  • Perform daily and periodic risk assessments to ensure positions comply with market risk limits and guidelines.
  • Conduct sensitivity analysis, stress testing, Value at Risk (VaR), scenario analysis, and performance attribution.
  • Prepare timely market risk reports, dashboards, and analytical summaries for management and committees.
  • Identify emerging risks, deviations, and limit breaches, and escalate them as required.
  • Maintain and update risk models, assumptions, and parameters in line with market developments.
  • Analyze market indicators, yield curves, credit spreads, and investment performance trends.
  • Support the evaluation of investment proposals by assessing risk implications, exposures, and volatility.
  • Verify the accuracy, completeness, and integrity of market data and pricing sources.
  • Contribute to developing and improving market risk methodologies, models, and measurement tools.
  • Support the validation of risk systems and the enhancement of analytical reporting capabilities.
  • Participate in reviewing and updating risk policies, limits frameworks, and operational procedures.
  • Monitor adherence to AMF investment guidelines, risk frameworks, and regulatory standards.
  • Coordinate with Investment, Treasury, Finance, and Internal Audit teams to verify data and align risk reporting.
  • Support risk committees by preparing materials, analytical notes, and briefings.
  • Liaise with custodians, data providers, and external auditors on market risk-related matters.
  • Stay informed about market developments, regulatory changes, and global risk trends.

Job Qualifications and Requirements

Knowledge and Experience

  • Minimum 4 years of experience in market risk, investment risk, treasury risk, or financial risk analysis.
  • Strong knowledge of financial instruments, portfolio theory, pricing methodologies, and market dynamics.
  • Experience with risk systems, stress testing tools, VaR engines, or pricing models is preferred.

Education

  • Bachelor’s degree in Finance, Economics, Risk Management, or a related field.
  • Master’s degree is preferred.

Certifications

  • Professional certifications such as FRM (Financial Risk Manager), CFA (Chartered Financial Analyst), PRM (Professional Risk Manager), or specialized risk-related courses are considered an advantage.
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