Market & Liquidity Risk Analyst
Financial Management @Safa Fatima posted 1 month ago in Banking, Insurance & DFI's Shortlist Email JobJob Detail
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Job ID 262377
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Job Type Permanent
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Job Shift Morning
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Degree Title BBA/MBA in Finance
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Experience Upto 5 Years
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Gender Not Specified
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City Karachi
Job Description
Job Purpose
To assist in monitoring, analyzing, and reporting Market & Liquidity Risk exposures while ensuring compliance with regulatory requirements and internal risk management policies.
Key Responsibilities
- Monitor Market & Liquidity Risk indicators and prepare periodic risk reports.
- Conduct liquidity gap analysis, stress testing, and sensitivity analysis.
- Monitor investment portfolio risk, foreign exchange exposure, and interest rate risk.
- Ensure compliance with SBP regulations, Basel guidelines, and internal risk limits.
- Prepare MIS and analytical reports for senior management and relevant committees.
- Coordinate with Treasury, Finance, and other departments for risk-related reporting.
- Identify and escalate significant risk observations and limit breaches.
- Assist in policy review, audit coordination, and regulatory inspections.
- Support automation and enhancement of risk monitoring processes.