Job Title:Â Â Market Risk OfficerÂ
Organisation: Cairo Bank Uganda
Duty Station: Kampala, Uganda
Reports to: Chief Risk Officer
About the Company:
Cairo Bank Uganda was incorporated on 11th July, 1994. The Bank was formerly known as Cairo International Bank owned by the three leading Egyptian Banks namely; Banque Du Caire, Bank Misr and National Bank of Egypt.  In 2019, it became a fully owned subsidiary of Banque Du Caire (BDC). The shareholder consolidation in 2019 was on the back of expanding its presence across Africa whilst providing an entry point into the COMESA market.
Job Summary: Â Work as a key resource to the Head of risk assisting with the management of the market risk control function in the bank.
Key Duties and Responsibilities:
- Support in the planning and implementation of the market risk policies, market risk management framework and internal controls, and ensure its compliance by the different business units
- Preparation of Management report to RMC and ALCO committee
- Identify emerging risks and control issues
- Daily monitoring of CRR.
- Serve as Treasury Middle officer to review and approve all treasury dealings before system booking.
- Monitor exchange rates, and interest rates and update the daily spot/monthly average prices database
- Monitoring of set limits for compliance and promptly flagging triggers to the Head of Risk.
- Review and analysis of the treasury manual and system blotters for correctness and accuracy.
- Review and analysis of Balance Sheet Ratios and limits (Internally and Regulatory).
- Maintain Revaluation rates.
- Scanning financial markets for relevant data to positions held by the bank, both financial and regulatory.
- To monitor liquidity risk, establish trends of liquid assets to total assets or liabilities over time.
- Carry out stress tests on liquid and interest-bearing assets and liability gaps to establish liquidity and interest rate risks.
- Analyze foreign currency assets and liabilities and do stress tests to establish foreign currency exchange risk.
- Respond to ad hoc requests from the business, risk management or regulators.
Qualifications, Skills and Experience:
- A Bachelor’s degree from a reputable University.
Experience.
- At least 3 years’ professional experience in information risk related position in a financial institution.
Skills And Competencies.
- Good working knowledge of the T24 Core Banking System is preferred.
- Demonstrated ability to participate in complex, comprehensive or large IT-related projects and initiatives.
- Good communication skills
- Team player
- Networking skills
- Attention to detail
How to Apply:
Interested candidates should send their application letters together with their curriculum vitae to the Head, of Human Resources at [email protected]
Deadline: 28th March 2025
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