Credit & Market Risk Audit within Birbank (Manager) at PASHA Holding
Baku, Absheron, Azerbaijan -
Full Time


Start Date

Immediate

Expiry Date

25 Jan, 26

Salary

0.0

Posted On

27 Oct, 25

Experience

2 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Credit Risk Management, Market Risk Management, Internal Audit, Regulatory Compliance, Data Analysis, SQL, Python, Risk Governance, IFRS 9, Basel Regulations, Stress Testing, Portfolio Management, Communication Skills, Report Writing, Mentoring, Financial Analysis

Industry

Investment Management

Description
Lead and conduct internal audit engagements related to credit risk management across the bank, ensuring compliance with regulatory frameworks and internal policies; Assess the effectiveness of credit and market risk models implementations, including provisioning, scoring models, capital adequacy, stress testing and etc; Evaluate credit and market risk reporting, measurement methodologies, and stress testing frameworks; Conduct independent reviews of credit and market risk governance, portfolio management, and risk appetite frameworks; Ensure adherence to IFRS 9 and regulatory requirements related to credit and market risk; Review and assess underwriting practices, ensuring adherence to credit policies and regulatory guidelines; Analyze loan origination, approval processes, and risk-based pricing methodologies to identify areas for improvement; Perform data analysis and extraction using SQL and Python to support audit findings and risk assessments; Identify gaps and weaknesses in credit and market risk processes, providing actionable recommendations to senior management; Work closely with risk management, finance, and compliance teams to enhance internal control mechanisms; Prepare comprehensive audit reports and present findings to senior stakeholders; Lead, mentor, and develop junior auditors within the team, fostering a high-performance culture. Bachelor's or Master’s degree in Finance, Economics, Mathematics, Statistics, or a related field. Over 3 years of experience in internal audit, risk management, or regulatory compliance, with a focus on credit risk; Strong knowledge of Basel regulations, IFRS 9, capital adequacy frameworks, stress testing, and risk governance. Proficiency in SQL for data extraction and analysis; Python skills for data-driven assessments are an advantage. Excellent communication and report-writing skills, with the ability to present complex audit findings clearly. Professional certifications such as CFA, FRM, ACCA, or equivalent are a plus.
Responsibilities
Lead and conduct internal audit engagements related to credit risk management across the bank, ensuring compliance with regulatory frameworks and internal policies. Evaluate credit and market risk reporting, measurement methodologies, and stress testing frameworks while providing actionable recommendations to senior management.
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