Manager - Risk Management - Commercial Bank of Kuwait

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  • Manager - Risk Management - Commercial Bank of Kuwait





    Manager - Risk Management - Commercial Bank of Kuwait

    -To identify, measure and manage market risk, credit risk, interest rate risk, liquidity risk, reputation risk and strategic risk.
    -To ensure risks are managed as per policy guidelines.
    -To ensure timely dispatch of regulatory reports.
    Key Accountabilities:
    -Monitoring of Treasury CP and country limits, FX stop loss computation, liquidity risk limits, bond investment stop loss computation, intraday FX open position, and interest rate risk limits.
    -FX VaR and equity VaR computation.
    -EVE & EAR computation
    -Strategy position.
    -Stress testing
    -Policy review and models review.
    -Maintenance of all historical data required for various models.
    -IFRS9 models maintenance and provision of required inputs
    -Interaction with Financial Planning and Control, and Treasury and Investment Department for day to day functions.
    -Preparation of reports.

    Job Details

    Date Posted: 2017-12-05 Job Location: Al Kuwait, Kuwait Job Role: Banking Company Industry: Banking
    Preferred Candidate

    Career Level: Management Degree: Baccalauréat




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أنشئ بواسطة ايهاب محمد, 10-03-2024, 03:40 PM
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آخر مشاركة ايهاب محمد
بواسطة ايهاب محمد
 
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