This role required candidate topermanently relocate at Dhahran SaudiArabia.
About theCompany
This company engagesin the exploration production transportation and sale of crude oiland natural gas. It operates through the following segments : Upstream Downstream and Corporate.
The Upstream segment includescrude oil natural gas and natural gas liquids exploration fielddevelopment and production. The Downstream segment focuses onrefining logistics power generation and the marketing of crude oilpetroleum and petrochemical products and related services tointernational and domestic customers.
The Corporate segment offerssupporting services including human resources finance andinformation technology. The company was founded on May 29 1933 andis headquartered in Dhahran Saudi Arabia.
Job Summary
We areseeking a Financial Analyst to join the Risk Oversight &Compliance Division of the Financial Risk Management Division atThis Company.
The Financial Analyst will provide risk analysis andconsultancy for riskbased decision making and managementadvice.
KeyResponsibilities :
- Collaborate within a Group treasury function to analyzeoversee advise and report on Group financial riskactivities.
- Offer professional expertise onfinancial riskreward analysis and provide riskbased decisions andproposals for management advice.
- Enhancetransparency on Treasuryrelated risks by developing or improvingGrouplevel dashboards and reports for senior management monitoringand updates.
- Establish and refine riskprofiles and thresholds for various Group entities and their riskexposures monitoring related key risk indicators.
- Develop applicable procedures for the aboveresponsibilities.
Requirements :
- Willingness to relocate toDhahran Saudi Arabia.
- Hold aBachelors degree in Finance Analytics or Accounting from arecognized program. An advanced degree like a Masters CFA or FRM ispreferred.
- Possess a minimum of 7 yearsexperience in Corporate Treasury risk functions particularly inCredit and Market.
- Have experience indeveloping risk metrics including VaR stress testing and scenarioanalysis and familiarity with risk appetite framework.
- Proficient in data analytics risk systems and tools suchas MATLAB Tableau MSCI RiskMetrics or Power BI.
- Strong analytical and problemsolving skills.
- Collaborative attitude for working across a diverseportfolio of companies as part of a global risk team.
- Exhibit intellectual curiosity andaccountability.
- Excellent written and oralEnglish communication skills.
Treasury,VaR,Risk