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Ideal candidate to possess the following: - Masters degree in Finance from a reputable local or international university - International certifications like FRM/PRM though not must will be considered an added advantage - At least 3 years experience in a Financial Risk Management Consultancy or the Risk Management Department of a financial institution - In depth knowledge of Basel II regulations and SBP MCR calculation is a must - Strong interpersonal, analytical and problem solving skills - Proficient in use of MS Excel
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