Bachelor’s degree in Finance, Economics, Banking, Mathematics, Risk Management or related field
FRM, CFA, ACI or related qualification is an added advantage
Professional Experience:
Minimum 2 years’ experience in market risk, treasury risk, credit risk, credit analysis or portfolio risk
Strong Excel skills; Power BI, SQL or risk-management systems experience is an advantage
Sound understanding of Treasury products, liquidity risk, and portfolio credit risk
Requirements
- Bachelor’s degree in Finance, Economics, Banking, Mathematics, Risk Management or related field
- FRM, CFA, ACI or related qualification is an added advantage
Professional Experience:
- Minimum 2 years’ experience in market risk, treasury risk, credit risk, credit analysis or portfolio risk
- Strong Excel skills; Power BI, SQL or risk-management systems experience is an advantage
- Sound understanding of Treasury products, liquidity risk, and portfolio credit risk
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