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Tier-1 brand and metro location, but senior niche role reduces applicant density.
Highly domain-specific financial risk and model validation experience limits cross-industry transferability.
Explicit 15+ years and deep model risk/regulatory mandates make filters highly stringent.
Lead and shape financial services transformation and risk advisory projects for banks, NBFCs, and capital markets in GCC, focusing on credit risk, liquidity risk, model risk, and regulatory compliance.
Drive client origination, growth, and solution development in areas such as model risk governance, IFRS 9/CECL, stress testing, ICAAP, and treasury risk frameworks.
Oversee delivery of multi-disciplinary advisory teams and build senior stakeholder relationships including CROs, CFOs, and audit committees.
15+ years of experience in financial services risk management, advisory, model risk, treasury risk, or regulatory risk.
Strong expertise in credit risk, liquidity risk, IRRBB, ICAAP, IFRS 9 ECL, CECL, CCAR, stress testing, and model risk governance.
Experience with independent model validation for PD, LGD, EAD, AI/ML models, and regulatory standards like Basel and SR 11-7.
MBA or Master degree preferred; certifications in financial risk management or related fields advantageous.
Senior professional with deep risk domain knowledge combined with consulting leadership and client relationship skills in global financial services environments.
Experience leading large-scale transformation and regulatory response engagements, with strong quantitative modelling and statistical skills.
Demonstrated ability to develop innovative risk advisory solutions and effectively engage with executive-level clients and risk committees.