21 Risk Analyst jobs in Qatar
Assistant Vice President, Market Risk Analyst (Arabic Speaking)
Posted 1 day ago
Job Viewed
Job Description
Evaluate the adequacy of the Market Risk (MR) control framework to ensure alignment with regulatory and business requirements.
Develop and implement advanced MR measurement tools, systems, processes, and reporting mechanisms.
Conduct quantitative analysis on market conditions, emerging risk trends, and relevant hedging strategies.
Ensure effective management of net liquid capital, MR strategy development, and alignment with the overall business strategy and GSRM guidelines.
Provide hands-on support for data management, MIS, analytics, and evaluations related to market-making, liquidity provisioning, and other MR-impacting activities.
Periodically review and validate the Market Risk model to ensure ongoing accuracy, reliability, and regulatory compliance.
Support senior management in formulating advice on market-making risk exposures and strategies for capital and liquidity management, taking into
Assistant Vice President , Market Risk Analyst (Arabic Speaking)
Posted 1 day ago
Job Viewed
Job Description
Develop and implement advanced MR measurement tools, systems, processes, and reporting mechanisms.
Conduct quantitative analysis on market conditions, emerging risk trends, and relevant hedging strategies.
Ensure effective management of net liquid capital, MR strategy development, and alignment with the overall business strategy and GSRM guidelines.
Provide hands-on support for data management, MIS, analytics, and evaluations related to market-making, liquidity provisioning, and other MR-impacting activities.
Periodically review and validate the Market Risk model to ensure ongoing accuracy, reliability, and regulatory compliance.
Support senior management in formulating advice on market-making risk exposures and strategies for capital and liquidity management, taking into
Assistant Vice President, Market Risk Analyst (Arabic Speaking)
Posted 13 days ago
Job Viewed
Job Description
Evaluate the adequacy of the Market Risk (MR) control framework to ensure alignment with regulatory and business requirements.
Develop and implement advanced MR measurement tools, systems, processes, and reporting mechanisms.
Conduct quantitative analysis on market conditions, emerging risk trends, and relevant hedging strategies.
Ensure effective management of net liquid capital, MR strategy development, and alignment with the overall business strategy and GSRM guidelines.
Provide hands-on support for data management, MIS, analytics, and evaluations related to market-making, liquidity provisioning, and other MR-impacting activities.
Periodically review and validate the Market Risk model to ensure ongoing accuracy, reliability, and regulatory compliance.
Support senior management in formulating advice on market-making risk exposures and strategies for capital and liquidity management, taking into
Assistant Vice President , Market Risk Analyst (Arabic Speaking)
Posted 13 days ago
Job Viewed
Job Description
Evaluate the adequacy of the Market Risk (MR) control framework to ensure alignment with regulatory and business requirements.
Develop and implement advanced MR measurement tools, systems, processes, and reporting mechanisms.
Conduct quantitative analysis on market conditions, emerging risk trends, and relevant hedging strategies.
Ensure effective management of net liquid capital, MR strategy development, and alignment with the overall business strategy and GSRM guidelines.
Provide hands-on support for data management, MIS, analytics, and evaluations related to market-making, liquidity provisioning, and other MR-impacting activities.
Periodically review and validate the Market Risk model to ensure ongoing accuracy, reliability, and regulatory compliance.
Support senior management in formulating advice on market-making risk exposures and strategies for capital and liquidity management, taking into
Assistant Vice President , Market Risk Analyst (Arabic Speaking)
Posted 13 days ago
Job Viewed
Job Description
Develop and implement advanced MR measurement tools, systems, processes, and reporting mechanisms.
Conduct quantitative analysis on market conditions, emerging risk trends, and relevant hedging strategies.
Ensure effective management of net liquid capital, MR strategy development, and alignment with the overall business strategy and GSRM guidelines.
Provide hands-on support for data management, MIS, analytics, and evaluations related to market-making, liquidity provisioning, and other MR-impacting activities.
Periodically review and validate the Market Risk model to ensure ongoing accuracy, reliability, and regulatory compliance.
Support senior management in formulating advice on market-making risk exposures and strategies for capital and liquidity management, taking into
Assistant Vice President, Market Risk Analyst (Arabic Speaking)
Posted 13 days ago
Job Viewed
Job Description
Sr. Enterprise Risk Management Analyst
Posted 1 day ago
Job Viewed
Job Description
- Assist in the development and implementation of the ERM framework and annual risk objectives aligned with organizational goals.
- Support the risk assessment and monitoring processes in relation to the annual business plan and strategic priorities.
Policies, Procedures & Governance :
- Ensure timely development, updating, and implementation of ERM policies, systems, and procedures.
- Contribute to the creation and review of related policies including Product Governance and Major Risk Policies.
- Monitor adherence to approved policies, processes, and controls to ensure consistency and compliance.
- Coordinate with departments to compile and maintain key risk reports and documentation, such as ORSA (Own Risk and Solvency Assessment), ensuring compliance with regulatory requirements.
- Support the identification, analysis, and escalation of emerging risks and key exposures across the organization.
Special Projects & Investigations :
- Participate in deep dives, investigations, and special projects to evaluate and address departmental and enterprise-level risk exposures.
- Provide input into corporate-level risk mitigation plans and ensure risks remain within defined appetites.
Qualifications & Experience :
- Bachelors Degree preferably in Risk, Business Administration , or other governance-related areas such as Audit, Accounting, or Compliance .
- 6 to 10 years of relevant experience in Risk Management and the Insurance sector .
- Risk Management certification (e.g., CRM, IRM, FRM) is preferred but not essential.
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Sr. Enterprise Risk Management Analyst
Posted 6 days ago
Job Viewed
Job Description
- Assist in the development and implementation of the ERM framework and annual risk objectives aligned with organizational goals.
- Support the risk assessment and monitoring processes in relation to the annual business plan and strategic priorities.
Policies, Procedures & Governance :
- Ensure timely development, updating, and implementation of ERM policies, systems, and procedures.
- Contribute to the creation and review of related policies including Product Governance and Major Risk Policies.
- Monitor adherence to approved policies, processes, and controls to ensure consistency and compliance.
- Coordinate with departments to compile and maintain key risk reports and documentation, such as ORSA (Own Risk and Solvency Assessment), ensuring compliance with regulatory requirements.
- Support the identification, analysis, and escalation of emerging risks and key exposures across the organization.
Special Projects & Investigations :
- Participate in deep dives, investigations, and special projects to evaluate and address departmental and enterprise-level risk exposures.
- Provide input into corporate-level risk mitigation plans and ensure risks remain within defined appetites.
Qualifications & Experience :
- Bachelors Degree preferably in Risk, Business Administration , or other governance-related areas such as Audit, Accounting, or Compliance .
- 6 to 10 years of relevant experience in Risk Management and the Insurance sector .
- Risk Management certification (e.g., CRM, IRM, FRM) is preferred but not essential.
Sr. Enterprise Risk Management Analyst
Posted 6 days ago
Job Viewed
Job Description
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Senior Analyst Global Risk Support
Posted today
Job Viewed
Job Description
The incumbent will assist the Head of Global Risk Support in overseeing and promoting the coordination of activities between Group Risk Division’s Departments and the various QNB International entities.
Role Discription
- Ensure the prompt, efficient and timely supervision, coordination, collection and dissemination of all relevant information, data and reporting needs of Group Risk with QNB International Units.
- Formulate and provide, in coordination with concerned Group Risk functions, standard formats for reporting requirements by QNB International units.
- Act as a “Help Desk” function to assist all QNB Divisions and QNB International units, with regards to clarification of Group Risk policies, procedures and guidelines, as well as information on required ad hoc or periodic reporting or data requirements from Group Risk.
- Represent Group Risk in meetings, projects and other joint initiatives with other QNB Divisions and QNB International Units, as directed by the AGM SRM.
- Ensure that there is a mechanism, in standardized formats, for periodic reporting of the Group’s international Risk exposures, to the relevant Risk Division functions and QNB Board / Executive Management level committees.
- Participate in the annual / other periodic business and strategy review meetings of the QNB International units.
- Conduct periodic on-site operational, organizational and business Risk assessments of QNB International Units to ensure compliance with approved policies, guidelines and strategy directives.
**Qualifications**:
- Minimum of 8 years’ experience in banking industry / or specialized financial consultancy firms.
- Good knowledge of Corporate Banking, International Banking, Compliance and Regulatory Standards and Risk Management, including experience in multiple countries and/or regions.
- Good knowledge of Risk Management and financial industry related best practices, as well as key Risk functions and concepts
- Good understanding and ability to utilize leading Risk measurement techniques and tools e.g. Moody’s MRA for corporate default probabilities, Value at Risk etc.
- Understanding of IT systems and operations as they related to Risk processes.
- Self-motivated, eye for detail, strong team player. Ability to work independently on multiple tasks and/or projects, and deliver under pressure.
- Excellent oral and written communication skills (Arabic a plus, but not required).
- Ability and willingness to train coach and mentor junior staff.
الوظيفة: