Risk Integration Manager at Arab Bank
Jordanów, Lesser Poland Voivodeship, Poland -
Full Time


Start Date

Immediate

Expiry Date

03 Jan, 26

Salary

0.0

Posted On

05 Oct, 25

Experience

5 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Risk Management, Analytical Skills, Communication Skills, Interpersonal Skills, Team Building, Financial Analysis, Regulatory Compliance, Stress Testing, Data Aggregation, Risk Appetite Framework, Presentation Skills, Recovery Planning, Macroeconomic Analysis, Risk Integration, Stakeholder Coordination, Policy Development

Industry

Banking

Description
Accountabilities and Key Roles: Develop and maintain frameworks that integrates various risk types into a unified enterprise risk view. Support the development and monitoring of the bank’s risk appetite framework, in coordination with risk owners and ensure proper monitoring and escalation mechanisms. Maintain and consolidate regulatory documents (ICAAP, Stress Testing Framework) and key risk management policies for Arab Bank Group, and its entities (as per the defined scope). Manage the development and regular updating of the Recovery Plan, including setting recovery triggers and evaluating recovery strategies. Design and execute enterprise-wide and macroeconomic stress testing scenarios that consider interconnected risks and business vulnerabilities. Manage financial statement notes related to Risk, including Pillar 3 requirements (as per defined scope). Maintain and consolidate Board Risk Committee presentations, in addition to the committee’s MOM. Work closely with risk functions in AB entities for any country specific issue related to risk integration. Enhance risk data aggregation capabilities and system integration to support more accurate and timely risk management reporting. Coordinate with relevant stakeholders to align the risk appetite with business objectives and key risk indicators. Manage responses to ad-hoc requests from senior management, internal departments and external parties as required. Job Requirements: Education: Bachelor’s Degree in Accounting, Finance or any related field from a recognized university. Experience: 7-12 Years in Finance/ Risk experience in a leading Regional/ International institution. Competencies: Fluent in English and Arabic Strong analytical & numerical skills. Good presentation, communication, & interpersonal skills. Team building and team player.
Responsibilities
The Risk Integration Manager is responsible for developing and maintaining frameworks that integrate various risk types into a unified enterprise risk view. This role includes managing the bank's risk appetite framework and coordinating with risk owners to ensure proper monitoring and escalation mechanisms.
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