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Market and Liquidity Risk Specialist
To strengthen our team in Risk Controlling we are looking for:
Market and Liquidity Risk Specialist
(1 employee, Sarajevo)
Major Responsibilities:
- Monitoring, reporting, analysis, measurement and escalating the interest rate risk
- Monitoring, reporting, analysis, measurement and escalating liquidity risk,
- To develop and implement local risk strategy in line with the Group Risk strategy
- Market Risk limitation on local level
- Calculation of stress test scenarios
- Implementation and development of local documentation regarding Market and Liquidity Risk according to relevant Group documentation
- Regular and ad-hoc reporting to Supervisory Board, Management Board and other interested parties
- Cooperation with other departments in company
- Perform other tasks requested by the CRO, Management Board, and other departments in company
Requirements:
- University degree-Faculty of Economics,
- At least two (2) years of working experience in the same or similar jobs,
- Good knowledge of the principles and operation of financial institutions,
- Fluent English both spoken and written,
- Advanced Computer literacy (Microsoft Excel, Microsoft Power Point)
- Willingness to work in stressful situations, responsibility in decision-making,
- Prominent organizational, analytical and communication skills,
- Negotiation skills and orientation to results,
- The tendency of teamwork and continuing professional development
- Driving license "B" category
This position may include Operational Risk tasks as well.
Location: Sarajevo
Type of Contract: Permanent employment contract
Probation period: 6 months
Your application will be treated confidentially.