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Mashreq

Assistant Manager - Model Risk Management

Posted 8 days ago
2-5 years experience
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AI Summary

The role involves managing end-to-end model risk, specifically focusing on model validation for credit and market risk models. Responsibilities include maintaining enterprise-wide validation standards, ensuring data integrity, and preparing performance reports for senior stakeholders.

Job Purpose:

The purpose of this role is to assist in end-to-end management of model risk within Mashreq group; focusing on model validation and its related activities. The role involves working on PD, EAD, LGD and Macroeconomic models from Credit Risk as well as VaR/PSRE/CVA/FRTB models from Market Risk.

Operating Environment, Framework and Boundaries, Working Relationships:

Regular interaction and working relationship with:

  • Wholesale Risk Management

  • Retail Risk Management

  • Market & Operational Risk Management

  • Group Finance and CAD

  • Audit & Compliance

  • Business Units

 

Problem Solving:

 

Candidate must possess the following skills:

  • Sound understanding Bank Wide Risk Analytics – especially in credit and market risk model development/validation including PD, EAD & LGD model development for Retail and Wholesale portfolios

  • Sound knowledge of regulatory frameworks such as Basel and IFRS 9. 

  • Proactive and hands-on approach towards answering complex theoretical / quantitative questions, 

  • Strong verbal and written communication skills.

 

Decision Making Authority & Responsibility:

 

Be a team player in 

  • Assist in the adequate maintenance of enterprise-wide model validation standards,

  • Assisting in managing model risk governance issues i.e. integrity, data validation and related modeling activities, 

  • Measurement of key model performance metrics, risk capital etc.

  • Preparing model performance related reports for consumption by senior stakeholders within the bank.

 

Knowledge, Skills and Experience:

 

  • 3+ years of experience in the BFSI sector with understanding of risk management and risk quantification processes

  • Master’s (or Bachelor’s with at least 2 extra years of experience) in Statistics, Mathematics, Operations Research, Engineering or related fields

  • Knowledge of different types of risks such as Credit, Market, Operational etc.

  • Understanding of model development and validation processes

  • Strong quantitative skills

  • Strong written and communication skills

  • Hands-on experience of working on SAS, Python, R from model development/validation perspective

  • Professional Qualifications such as FRM is a plus

  • Sound knowledge of Microsoft Office tools such as Excel, Power point, Word

  • Team player, self-starter, innovative and highly motivated.

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