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Academic Qualifications:
Bachelor’s degree in finance, Mathematics, Economics, Statistics, Actuarial Science or related field.
Professional certification such as FRM, CFA, PRM, CQF is an added advantage.
Experience & Technical Skills:
7+ years’ experience in Market, Liquidity or Balance Sheet Financial Risk within banking.
Experience in ICAAP and ILAAP contributions, stress testing and supervisory reporting.
Strong modelling skills with hands-on financial model development or validation experience.
Proficiency in analytical tools such as Excel (advanced), Python, desirable.
Strong knowledge of ALM concepts, IRRBB, liquidity metrics and treasury valuation.
Excellent analytical thinking, communication and repor
Finance
01/27/2026
Closes:
02/28/2026
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