Market Activity Monitoring Analyst M/F
Crédit Agricole CIB Dubai, United Arab EmiratesMarket Activity Monitoring Analyst M/F
Crédit Agricole CIB Dubai, United Arab Emirates
Market Activity Monitoring Analyst M/F
You look for a VIE in Dubaï and you have a previous experience in Market Finance / Market Risk ? So apply !
You will join Crédit Agricole CIB Dubaï as a Market Activity Monitoring (MAM) & Credit Monitoring & Report (CMR) Analyst within Risk/Capital Markets team
Your concrete missions will be the following :
- Production, control, consolidation , analysis and validation of the Treasury and Global Markets Onshore P&L: results explanation from market data movements (sensitivities, Theta, FX Rates...)
- Monitoring of market risk indicators (VaR, stress scenarios, sensitivities...) and limits utilization, including local regulatory reports related to market risk. Control and report over limits and alerts, assessing of relevant variations.
- Monitoring of atypical trades including off-market trades, authorized products.
- Production of liquidity indicators (7-day gap, liquidity stress, DIFC Liquidity Gaps ratio...)
- Escalation and follow up on significant market events, P&L, market risk or limit breaks.
- Ensure that the internal and operational procedure are up to date and reviewed by Head-Office MAM
- Assist in all regulatory requirements and committees preparation (Market Risk Committee, Recovery Plan, audit missions, regulatory templates, Monthly MAM Dashboard...)
- Involvement in all tool and system-related projects and automation of all the process related to daily production: books migrations, UAT testing, post-migration process adjustments...
To be eligible for a VIE :
- Be less than 28 years
- Be graduated of Master Degree
- Be EU citizens
Don't forget to mention this information on your resume and/or cover letter in English !
Critères candidat
Niveau d'études minimum
Bac + 5 / M2 et plus
Formation / Spécialisation
Are you our future VIE?
You are postgraduate of a Master Degree in Finance.
Niveau d'expérience minimum
0 - 2 ans
Expérience
A previous experience in Market Finance or Maret Risks would be a plus.
Compétences recherchées
Hard Skills:
- Capital Markets knowledge ;
- Excellent Knowledge of MS Office ;
- Knowledge of VBA is desirable ;
- Fluent in English and French.
Soft skills:
- Good Communication skills ;
- Ability to synthesize information.
You will join Crédit Agricole CIB Dubaï as a Market Activity Monitoring (MAM) & Credit Monitoring & Report (CMR) Analyst within Risk/Capital Markets team
Your concrete missions will be the following :
- Production, control, consolidation , analysis and validation of the Treasury and Global Markets Onshore P&L: results explanation from market data movements (sensitivities, Theta, FX Rates...)
- Monitoring of market risk indicators (VaR, stress scenarios, sensitivities...) and limits utilization, including local regulatory reports related to market risk. Control and report over limits and alerts, assessing of relevant variations.
- Monitoring of atypical trades including off-market trades, authorized products.
- Production of liquidity indicators (7-day gap, liquidity stress, DIFC Liquidity Gaps ratio...)
- Escalation and follow up on significant market events, P&L, market risk or limit breaks.
- Ensure that the internal and operational procedure are up to date and reviewed by Head-Office MAM
- Assist in all regulatory requirements and committees preparation (Market Risk Committee, Recovery Plan, audit missions, regulatory templates, Monthly MAM Dashboard...)
- Involvement in all tool and system-related projects and automation of all the process related to daily production: books migrations, UAT testing, post-migration process adjustments...
To be eligible for a VIE :
- Be less than 28 years
- Be graduated of Master Degree
- Be EU citizens
Don't forget to mention this information on your resume and/or cover letter in English !
Critères candidat
Niveau d'études minimum
Bac + 5 / M2 et plus
Formation / Spécialisation
Are you our future VIE?
You are postgraduate of a Master Degree in Finance.
Niveau d'expérience minimum
0 - 2 ans
Expérience
A previous experience in Market Finance or Maret Risks would be a plus.
Compétences recherchées
Hard Skills:
- Capital Markets knowledge ;
- Excellent Knowledge of MS Office ;
- Knowledge of VBA is desirable ;
- Fluent in English and French.
Soft skills:
- Good Communication skills ;
- Ability to synthesize information.
Job ID 2026-113867
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