Director of Credit & Market Risk
Confidential · Abou Dabi
Job description
About the role
We are partnering with a leading UAE financial institution that is building a digital‑first, AI‑enabled bank from the ground up. As Director of Credit & Market Risk you will shape the bank’s risk architecture, ensuring robust credit, market, and treasury risk controls while supporting rapid, sustainable growth.
Key responsibilities
- Design, implement and maintain the credit risk framework, underwriting standards, rating models and delegated authorities.
- Establish and monitor market risk, IRRBB, liquidity and treasury risk limits across the organization.
- Provide independent second‑line oversight of lending, treasury and asset‑liability‑management activities.
- Own the IFRS 9 provisioning methodology and expected credit loss models in partnership with Finance.
- Track portfolio quality, concentration risks, emerging threats and early‑warning indicators.
- Build and lead the Credit, Market and Treasury Risk function, integrating advanced analytics and AI‑enabled risk capabilities.
Required profile
- 12+ years of experience in credit risk, market risk, treasury risk or enterprise risk within banking or financial services, including senior leadership.
- Deep expertise in credit underwriting, portfolio management, IFRS 9, market risk, liquidity risk, IRRBB and treasury risk management.
- Proven track record of building risk frameworks, models and governance structures in regulated environments.
- Strong knowledge of CBUAE requirements, Basel standards and related regulatory expectations.
- Experience with risk analytics, modelling, portfolio monitoring and advanced risk‑management tools.
- Professional qualifications such as FRM, PRM, CFA or equivalent are highly desirable.
Required skills
- Risk analytics
- Financial modelling
- AI‑enabled risk tools
- IFRS 9 provisioning methodology
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Published 1 month ago
Expires 1 week from now
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Confidential
Abou Dabi
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