Key Job Responsibilities:
- Prepare Risk Management Reports
- Conduct Stress Testing and Duration Gap Analysis
- Submit the Money Market limit Risk Reports and FEX limit Risk Reports to Treasury Division
- Monitoring Nostro A/C Reconciliation of the Bank and provide Certificates to submit Bangladesh Bank
- Capital Management function of the Bank in line with Basel III Guidelines
- Highlight the risky areas/portfolio of the Bank and take initiatives for corrective measures to mitigate the risks
- Plan, supervise and monitor all the activities of the Department and provide required guidelines and support to the officers of the Department
Educational Requirements
Master’s in Business, MBM, Economics or relevant subjects from leading business school/University with no Third Division in academic records.
Experience Requirements
Minimum 6 year(s) working experience in leading commercial Bank in the field of Risk Management.
Special Requirements
Working experience in Finacle (Core Banking Software) or similar software will be given preference.
Competencies & skills:
- Smart, Team player, paired with agile mindset and can-do attitude.
- Excellent presentation & communication skills
- Excellent skills in MS Office
Job Location: Head Office, Gulshan
Remuneration: Negotiable
Application Procedure: Interested candidate are requested to apply by April 18, 2019. No hard copy of application will be accepted.
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