- Ensure compliance with Basel ll accord and Basel lll framework, specifically with respect to Bank's capital - Prepare the Banking Book and Trading Book in line with Basel ll risk reporting to the regulatory authorities in a timely manner e.g. regular Solvency Computation
- Identify new regulatory requirements and best practices
- Prepare reliable periodic reports and in depth analysis of the market risk exposures in the trading book to monitor exposures against approved limits, alarm breaches and recommend remedial actions
- Analyze Bank/Fl, and Country risks, write risk reports and opinions, and prepare credit presentations.
- Maintain and update regularly the Corporate Governance structure and the Code of Corporate Governance
- Prepare and consolidate the Risk Committees Reporting Package including the Risk Management Reports presented to the Risk Committees and BODs
- Keep track of all internal Bank circulars & policies and follow up timely to update and present for Board approval