Senior Treasury Risk Analyst

Date: 11 Feb 2025

Location: QA

Company: Power International Holding

Job Summary

The Senior Treasury Risk Analyst will be responsible for assessing, analyzing, and mitigating potential risks that could impact the organization’s operations and financial performance. The role involves identifying, evaluating, and managing both financial and operational risks to ensure effective risk management strategies and compliance with regulatory frameworks.

Job Responsibilities 1

Conduct comprehensive risk assessments across the organization to identify potential risks, including financial, treasury, and strategic risks.

Develop and maintain risk management models to quantify and mitigate identified risks related to treasury.

Monitor risk exposures and provide recommendations to minimize potential threats to the organization access the group.

Assist in the preparation of risk reports for senior management and other stakeholders.

Collaborate with cross-functional teams to ensure the implementation of risk mitigation strategies.

Analyze trends, patterns, and other data to proactively identify emerging risks.

Stay updated on industry standards, financial and Treasury regulatory requirements, and best practices in risk management.

Support the development and implementation Treasury of risk management policies and procedures.

Conduct stress tests and scenario analyses to evaluate the impact of adverse conditions on the organization.

Assist in the development of crisis management and contingency plans.

Job Responsibilities 2

Additional Responsibilities 3

Job Knowledge & Skills

ERP knowledge preferably SAP functional skills are a requirement to be successful in this role.

Experience with risk management software and tools.

Knowledge of regulatory frameworks and compliance requirements in relevant industries (e.g., banking, insurance, manufacturing).

Ability to work independently as well as part of a team.

Strong organizational and time-management skills.

Job Experience

Minimum 5 years working experience, 3 years relevant working experience, 2 years GCC experience is a plus.

Competencies

Accountability
Banking Relationships L3
Build High-Performing Teams
Collaboration
CTP Certified Treasury Professional L3
Finance Strategy L3
Financial Control L3
Leadership
Provide Direction
Quality
Resilience
Treasury Systems L3

Education

Bachelor's Degree in Finance, Accounting, Economics, Pubic Administration or business administration, and other related field or any related field