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Treasury Risk & Control Lead

Job in Abu Dhabi, UAE/Dubai
Listing for: Huxley
Full Time position
Listed on 2026-10-07
Job specializations:
  • Finance & Banking
    Risk Manager/Analyst, Banking & Finance, Financial Compliance, Financial Manager
  • Management
    Risk Manager/Analyst, Banking & Finance, Financial Manager
Job Description & How to Apply Below

Our Client, a leading local Bank in the UAE, is looking to hire a Control & Risk Manager to be based in Abu Dhabi. This is a great opportunity to join a top-tier Bank in a growing economy.

Title: Control & Risk Manager
Client: Leading Local Bank
Department/Unit: Treasury Middle Office
Reporting to: Head of Treasury Middle Office
Location: Abu Dhabi, UAE
Salary: Competitive

Job Responsibilities:

  • Relationship maintenance with external Banks for collateral management functions.
  • Liaise with key internal partners including Treasury, FID Legal, Back Office Treasury Sales Team, WBG, Relationship Managers, and IT.
  • Ensure adherence to ADCB internal policy.
  • Ensure that the bank's Treasury & Investment market, credit and limits management policy is adhered to by T&I Group and that breaches of limits are escalated appropriately.
  • Ensure compliance of T&I trading activities to internal and external regulatory guidelines.
  • Ensure that all CSA Treasury products are captured, valued accurately, and processed in a controlled manner while maintaining relationships with external counter parties.
  • Ensure timely and accurate reporting of all breaches.
  • Provide management information and reports accurately and on time.
  • Ensure that transaction life cycle event processes are undertaken through control process, reconciliation, and exception-based reporting.
  • Ensure that Collateral Margin and Exchange Traded Derivative Margin processes are undertaken in a controlled environment.
  • Actively assist Murex implementation across all desks for Limit monitoring.
  • Participate and contribute to any ongoing project related to Treasury & Investment.
  • Requirements:

  • University Degree in Business related field required; MBA is preferred.
  • 5-7 years banking knowledge of Treasury Operations with emphasis on Treasury Risk Management and Monitoring.
  • Strong Risk background.
  • Work experience in systems such as Murex, Flexcube, Bloomberg is an advantage.
  • Strong MS Excel and Word skills.
  • Good knowledge of banking and financial systems is required.
  • Demonstrate a high level of self-motivation, drive, and analytical skills to achieve department goals.
  • Team player with self-starting and interpersonal skills.
  • Good communication skills.
  • Mentor, supervise and develop staff.
  • Introduce change and control by being actively engaged in day-to-day processes.
  • Excellent knowledge of Treasury products, transactions, and relevant regulatory regulations.
  • Excellent business analysis skills are required.
  • If you meet the above criteria, please reply with your latest CV.

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