Job Description
The Capital Markets Authority is a statutory agency charged with the responsibility of regulating and developing an efficient capital market in Kenya.
The Authority invites applications from dynamic, goal – oriented, high performers, with strong problem – solving skills, for the following position:
Risk Analysis Officer
Ref: HCA/RAO/8/2015
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1 Position
Reporting to the Assistant Manager, Risk Analysis & Compliance the selected candidate will be responsible for:
Assessing the governance and financial strengths of market participants and infrastructure providers to determine levels of risk exposure
Analyzing the risks inherent in the products offered by market participants across all asset classes including new complex derivative transactions
Participating in evaluating potential risks to market and systemic stability arising from newly introduced products and business lines in the market.
Participating in business relationship management by covering specific portfolio of intermediaries and or infrastructure providers with a responsibility for maintaining a close relationship with and deep understanding of assigned firms in order to identify business developments that could potentially impact firm’s risk profile
Evaluating and sharing information for a thorough assessment of the overall business environment and internal control factors of intermediaries’ and infrastructure providers and developing trend analyses.
Reviewing of business practices, changes in key personnel, changes in nature of service/products offered by market participants to identify key risks
Preparing bi-annual risk profiling reports highlighting intermediaries risk profiles to inform proper allocation of regulatory resources
Maintaining a comprehensive risk database that includes the profiles of the various intermediaries and infrastructure providers with highlights of key vulnerabilities and appropriate recommendations
Visiting intermediaries to evaluate their risk management processes and advise on ways of improvement
Circulation of risk and corporate governance questionnaires to market participants and review self-assessment reports from market participants
Organizing workshops to sensitize market participants on key risks identified in the market and mitigation measures
Undertaking any other responsibilities as may be assigned from time to time.
Minimum Qualifications and Experience
A Bachelor’s Degree in Engineering, Actuarial Science, Computer Science, Mathematics or other related field
Any relevant professional qualification will be an added advantage.
Demonstrable Two (2) years relevant experience in a similar position in a reputable organisation.
Key Skills, Knowledge & Competencies
Pro-active and self-driven person with a great eye for detail, strong analytical skills and a strong desire to critically evaluate capital markets operations and risks
Strong quantitative and technology training
Presentation and communication skills including ability to write reports;
High level of creativity with strong presentation and communication skills;
Advanced experience in using MS Product Suites and statistical packages;
Interpersonal and cross-cultural skills including ability to build alliances and collaborative relationships with sensitivity to diversity;
Ability to maintain high standards of integrity; establish straightforward, productive relationships; and
Ability to treat individuals with fairness and respect, demonstrating sensitivity for ethnic, cultural and gender differences.
Ability to meet tight deadlines as well as work with minimal supervision
Team player disposition
Organization and analytical skills
Unquestionable Ethics, Integrity and Professionalism
How to Apply
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