AccessBank
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Head / Manager of Financial Risk Unit

Head / Manager of Financial Risk Unit

  • AccessBank
  • 3 Tbilisi prospekti, Bakı, Azərbaycan
  • Tam ştat

Dünən

123

Təsvir

  • Lead the calculation, analysis, and continuous refinement of impairment provisions in accordance with IFRS 9 standards, including Probability of Default (PD), Loss Given Default (LGD), and forward-looking macroeconomic scenarios.
  • Oversee the calculation and accuracy of provisioning models to ensure compliance with regulatory requirements.
  • Develop and maintain the internal rating system for borrower classification and regularly assess its alignment with the Bank’s overall risk appetite and credit portfolio strategy.
  • Supervise the design and execution of stress testing scenarios across credit, market, and liquidity risk areas, and integrate results into capital planning and risk mitigation strategies.
  • Guide the research and implementation of advanced methodologies for market risk measurement (e.g., Value at Risk and other quantitative models), ensuring alignment with industry best practices.
  • Manage the assessment and measurement of key risk categories across the Bank, including credit risk, market risk, liquidity risk, capital adequacy, and asset-liability management.
  • Review and provide strategic recommendations on the risk implications of new products, services, and credit limits, aiming to minimize exposure and strengthen risk controls.
  • Lead, mentor, and develop a high-performing risk analytics team, fostering collaboration, innovation, and a culture of continuous improvement.
  • Coordinate cross-functional projects with internal stakeholders including Finance, Risk Management, Treasury, and Business Units to ensure integrated risk oversight.
  • Prepare and present regular reports, analysis, and recommendations to senior management and risk committees on portfolio performance, risk trends, and provisioning outlooks.

Tələblər

  • Bachelor degree in finance, economics or other relevant field;
  • 3-4 years of experience in credit risk and/or other financial risks functions;
  • SQL, Python or R skills;
  • Ability to prepare and present analysis for different purposes;
  • Statistics and econometrics knowledge is advantage;
  • Knowledge of Azerbaijani and English languages.

Vakansiya haqqında

Son tarix

August 30, 2025

Paylaşılıb

avqust 11, 2025

Vakansiya növü

Tam ştat

Kateqoriya

Maliyyə, Biznes və idarəetmə