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Director of Credit & Market Risk

Job in Abu Dhabi, UAE/Dubai
Listing for: Confidential
Full Time position
Listed on 2026-08-19
Job specializations:
  • Finance & Banking
    Risk Manager/Analyst, Financial Compliance, Banking & Finance
  • Management
    Risk Manager/Analyst, Banking & Finance
Salary/Wage Range or Industry Benchmark: 450000 - 850000 AED Yearly AED 450000.00 850000.00 YEAR
Job Description & How to Apply Below

We're excited to be partnering with a leading institution in the UAE that is building a digital-first, AI-enabled financial services organisation from the ground up. This is a unique opportunity to join at an early stage and help shape the operational, risk, and control foundations of a business with significant institutional backing and long-term ambition. If you're passionate about risk management, credit oversight, and building scalable risk frameworks, we'd love to hear from you.

As Director of Credit & Market Risk, you will be responsible for establishing and leading the bank's credit risk, market risk, and treasury risk frameworks. Working closely with the CRO and senior stakeholders, you'll play a critical role in ensuring the bank operates within its risk appetite while supporting sustainable growth from day one.

Responsibilities
  • Build and maintain the bank's credit risk framework, underwriting standards, rating models, and delegated authorities.
  • Establish and monitor market risk, IRRBB, liquidity risk, and treasury risk limits across the bank.
  • Provide independent second-line oversight of lending, treasury, and ALM activities.
  • Own IFRS 9 provisioning methodology and expected credit loss frameworks in partnership with Finance.
  • Monitor portfolio quality, concentrations, emerging risks, and early warning indicators.
  • Build and lead the Credit, Market, and Treasury Risk function while implementing advanced analytics and AI-enabled risk capabilities.
Requirements
  • 12+ years of experience across credit risk, market risk, treasury risk, or enterprise risk within banking or financial services, including senior leadership experience.
  • Deep expertise in credit underwriting, portfolio management, IFRS 9, market risk, liquidity risk, IRRBB, and treasury risk management.
  • Proven experience building risk frameworks, models, and governance structures within regulated environments.
  • Strong knowledge of CBUAE requirements, Basel standards, and regulatory expectations relating to credit and market risk.
  • Experience with risk analytics, modelling, portfolio monitoring, and advanced risk management tools.
  • Professional qualifications such as FRM, PRM, CFA, or equivalent are highly desirable.
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