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Overseeing a domain of risk management, you will lead your team in the development and implementation of the Bank’s risk strategy.
Credit risk
Evaluating financial risks for both proposed new operations and changes to existing ones, including risk pricing and counterparty risk assessment, you will maintain the credit quality of our highly-diversified portfolio of transactions.
Liquidity risk
Providing timely and accurate reporting, and ensuring data is up-to-date and reliable, you will contribute to the optimisation of our liquidity position and support our funding and lending functions.
Market risk and Financial risk
Performing risk controls for ratings criteria, interest rate, credit, foreign exchange (FX) and concentration limits, as well as analysing the performance of portfolios within those parameters, you will contribute to the improvement of our financial risk measurements and data control processes.
Operational risk
Analysing and improving the quality of internal procedures, controls, processes and systems, you will minimise exposure to operational risk and ensure our compliance with best banking practices.
Regulatory risk
Acting as our in-house expert for prudential regulatory developments, analysing and monitoring their potential impact on our activities, as well as providing input to our banking best practice framework, you will contribute to the development of policies that comply with regulations and support our practical operational needs.
Risk model validation
Evaluating and testing the consistency and accuracy of our financial models and assessing the impact of any inherent limitations and assumptions, you will ensure our models perform as expected and are sufficient for business and decision-making purposes.