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Head of Market & Liquidity Risk Analytics

Recruit AI · Karachi

New
Senior 🇬🇧 English

Job description

About the role

Sindh Bank Limited is seeking an experienced professional to lead Market & Liquidity Risk Analytics within its Risk Management Division. The role oversees identification, measurement, monitoring and reporting of market and liquidity risks across the bank.

Key responsibilities

  • Develop, implement and maintain market risk strategies, policies and frameworks in coordination with stakeholders.
  • Act as focal point for market risk management across all functional units.
  • Support deployment and improvement of risk management applications aligned with Basel II, Basel III and automation projects.
  • Supervise rate source documentation, mark‑to‑market valuation and reconciliation of trading activities.
  • Monitor position movements, limit expiries and exposure compliance against approved risk limits.
  • Maintain databases for market risk analysis and generate MIS reports.
  • Calculate minimum capital requirements per Basel II/III standards in collaboration with Finance and Credit Risk.
  • Lead stress‑testing exercises, develop regulatory scenarios and submit periodic reports.
  • Review new product proposals for liquidity and market risk implications.
  • Represent market risk management in key meetings and ensure regulatory compliance.

Required profile

  • Minimum 3 years banking experience in a Risk Management division.
  • Graduate degree, preferably MBA or M.Com from an HEC‑recognized institution.
  • Age up to 50 years.

Required skills

  • Strong knowledge of Basel II and Basel III market risk frameworks.
  • Experience with stress testing, scenario analysis and capital requirement calculations.
  • Ability to develop and maintain risk measurement models and databases.
  • Proficiency in preparing analytical reports for senior management and regulatory bodies.

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Published 1 day ago

Expires 1 month from now

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