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Vice President - Risk Analytics

Rakbank

New
🇬🇧 English
Python SAS SQL Databricks ECL methodologies IFRS 9 PD LGD EAD Rating Models

Job description

About the role

Rakbank is building a resilient, data‑driven risk management framework to support sustainable growth and regulatory excellence. As Vice President – Risk Analytics you will lead the bank’s regulatory modelling, impairment analytics and portfolio risk measurement across multiple business lines.

Key responsibilities

  • Lead development, enhancement and governance of regulatory risk models including PD, LGD, EAD, rating models and ECL methodologies across Retail, SME, Wholesale, FI and Investment portfolios.
  • Oversee the full model lifecycle – development, recalibration, monitoring, implementation and retirement – ensuring compliance with IFRS 9, CBUAE regulations and internal model risk frameworks.
  • Manage quarterly and monthly ECL production, deliver timely submissions to management, finance, audit and regulators, and review macro‑economic forecasting and scenario design.
  • Coordinate with Model Validation, Internal Audit, External Audit, Finance and regulatory authorities, establishing model standards, documentation and governance practices.
  • Provide strategic risk insights to senior committees, support stress‑testing and ICAAP exercises, and stay current with evolving IFRS 9 standards.

Required profile

  • Master’s degree in Statistics, Mathematics, Econometrics, Finance, Data Science or a related quantitative discipline.
  • 12‑15 years of experience in credit risk analytics, regulatory modelling or quantitative risk functions.
  • Proven leadership of modelling and analytics teams, with strong stakeholder‑management capabilities.
  • Deep knowledge of IFRS 9, PD, LGD, EAD, rating models, stress testing and model risk governance.

Required skills

  • Python
  • SAS
  • SQL
  • Databricks
  • ECL methodologies
  • IFRS 9
  • PD, LGD, EAD rating models

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Published 2 hours ago

Expires 1 month from now

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