Senior Risk Analyst

  • PASHA Holding
  • Elanın qoyulma tarixi: 17.06.2025
    Vakansiyaya müraciət tarixi bitmişdir.

İşin təsviri

Job description:

  • Framework Development: Support the development and implementation of group-wide principles and frameworks for financial risk measurement and transparency.
  • Risk Evaluation Tools: Assist in creating advanced financial risk evaluation tools for group subsidiaries (SAs).
  • Risk Framework Design: Contribute to the design and enhancement of frameworks for identifying and managing financial risks.
  • Risk Appetite Statements: Participate in the review and updating of Risk Appetite Statements (RAS) in SAs, ensuring alignment with risk capacity and tolerance levels.
  • Technical Expertise: Provide technical expertise on financial risk management approaches and methodologies.
  • Liquidity and Market Risk Management: Support the maintenance of liquidity and market risk management frameworks.
  • Credit Risk Policies: Collaborate on the development and enforcement of credit risk policies and frameworks, including compliance with IFRS 9 and related standards.
  • ESG Risk Integration: Contribute to the integration of ESG risk considerations into group processes.
  • Probability of Default (PD) Metrics: Help standardize Probability of Default (PD) metrics by supporting calibration efforts using macroeconomic data.
  • Risk Management Committees (RMCs): Participate in Risk Management Committees (RMCs) by providing expert inputs and recommendations for managing financial and ESG risks.
  • Monitoring and Alignment: Monitor SA risk activities and ensure alignment with group frameworks, policies, and expectations.
  • Financial Risk Policies: Support the formulation and application of financial risk policies for group-affiliated companies.
  • Credit Risk Models: Participate in the creation of internal credit risk models, including RWA, PD, and LGD models.
  • Risk Mitigation Plans: Track the implementation of risk mitigation plans and roadmaps for credit, market, liquidity, insurance, and ESG risks.
  • Regulatory Feasibility Analyses: Support feasibility analyses of regulatory frameworks and best practices to foster their adoption within SAs.
  • Integration of Risk Processes: Contribute to integrating financial risk management processes into group-wide initiatives, such as ICAAP, Solvency II, RHI, and Stress Testing.
  • Experience, Competencies and Skills Required:
  • At least a Bachelor’s degree or higher in Risk Management, Finance, Economics, or a related field.
  • Relevant certifications such as CFA, FRM, or similar are preferred.
  • Strong communication skills with senior stakeholders and leadership in Corporate Center and SAs.
  • Strong analytical and problem-solving skills.
  • Excellent written and verbal communication skills in English.
  • Proficient in relevant software tools for effective risk management.
  • A minimum of 5 years of proven relevant experience, with at least 2 years of experience in the financial industry, and at least 1 year in a function-specific role (e.g., risk, internal control, regulatory).
  • Proven track record of developing and implementing effective risk management strategies.
  • Experience working with diverse stakeholders and building strong relationships.
  • Strong knowledge of market and operating industries, with familiarity with a diverse product range of SAs.
  • Familiarity with regulatory requirements and industry best practices in risk management.

How to apply:

  • Interested candidates can apply by clicking the link provided in the "Apply" button.
  • Attention: The candidates will go through initial CV screening review. Those candidates ONLY who succeeds based on CV screening will be contacted via email and/or phone and will be invited to interview.

İşəgötürənin reytinqi