Risk Manager 46 views

Qatar First Bank is always in search of top talent and bright minds to contribute to the current transformation taking place at our bank. We are looking for unique individuals that are passionate and hungry to add value. Every day at QFB is a different day that presents a new challenge with the opportunity to contribute and grow. We are currently looking for a Risk Manager to join our QFB Family. Banking experience is required.

Responsible for risk management and monitoring of risks associated with the Bank’s investments and operations. Provide support to the CRO in investment evaluation and monitoring and implementing a business-wide risk management framework. Risk management is the process of identification, analysis, and acceptance or mitigation of uncertainty in investment decisions. Essentially, risk management occurs any time to quantify the potential for losses in an investment and then takes the appropriate action (or inaction) given their investment objectives and risk tolerance.

Job Responsibilities:

Work together with the Investment Team in analyzing risks of new investment opportunities to prepare Risk Assessment Memorandums for Investments Committee.
During the life of the investment, work with investments teams in defining and plan implementation, monitoring, and risk assessment, in particular:
Provide an independent view regarding proposed investment business plans
Support development of detailed short and medium-term targets for each portfolio investment against which to measure actual performance
Assisting the management teams in identifying and addressing key issues
Produce timely, accurate, and meaningful investment reports to management in line with agreed timetables and schedules
Support CRO in preparing reports to the Audit, Risk, and Compliance Committee.
Assist in ensuring Risk Management Department operates within approved budgets.
Conduct risk management education and training from time to time to ensure that QFB employees are abreast with the latest developments in Risk Management practices.
Experience with Market and Credit Risk


10 years’ experience in a financial services institution
Exposure to Credit and Market Risk
Bachelor’s degree in finance-related discipline preferred
CFA/ FRM/ PRMIA Qualification Preferred
Banking/Investment Banking experience

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