Job Objective
Focus on Margin financing business, especially derivatives and structural products Perform data analysis and reporting Quick respond to risk issues apart from regular duties
Duties And Responsibilities
Credit monitoring Risk and data analysis, including modeling, react to global market sentiment, adjustment to regulatory requirement Policy and procedure governance and review Compliance interpretation and insight UAT for internal system
Qualifications
Fluent English Interpersonal communication, team member Attention to details Microsoft Excel needed, program language is preferred Investment experience and financial products knowledge is preferred CME-1 is a Plus
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Risk Risk • Riyadh, Saudi Arabia