Develop Financial Risk Managemnt (FRM) strategy and operation to deliver with product specialisations such as credit risk, market risk, operational risk, economic capital, and then by sector specialization such as commercial banks, investment banks, insurance companies, etc.
Developing strong relationships with regulators (Saudi Arabian Monetary Agency and the Capital Market Authority).
Directing and managing all FRM mandates, ensuring quality and timeliness of the deliverables.
Business Development & Client Management.
One of the Leading Global Companies
CA / MBA with minimum 7 years revelant experience.