Manager, Market & Liquidity Risk
About this role
Job title: Manager, Market & Liquidity Risk
Job Purpose
To support coordination and implementation of the country’s market and liquidity risk in line with the regulations and the Group’s guidelines. The role will also be expected to support the identification and evaluation of market and liquidity risks.
Key Responsibilities
- Management of the Market and Liquidity Risk function. Assisting in the planning and implementation of the liquidity risk, market Risk and Profit Rate Risk in the Banking Book policies, Enterprise Risk Management Framework and ensuring compliance by the different business units.
- Participating in preparation of reports for the different committees.
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