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About Us: Soar is a global fintech startup specializing in financing and investment.
Headquartered in Saudi Arabia and expanding across the region, Soar provides innovative financial and property investment solutions through a multi-purpose platform designed for a seamless and simple user experience.
Role Summary: Support the Asset & Liability Management function by analyzing balance sheet structure, monitoring liquidity and interest-rate risks, and contributing to funding strategy and regulatory compliance.
Key Responsibilities: • Analyze balance sheet structure including liquidity gaps, repricing profiles, duration, and interest-rate sensitivity.
• Prepare ALM and liquidity reports (LCR/NSFR, funding concentration, maturity ladder) ensuring compliance with internal policies and regulatory requirements.
• Maintain ALM models and forecasting tools; perform stress testing, scenario analysis, and funding simulations.
• Conduct market research related to funding costs, yield curves, benchmark rates, and pricing implications.
• Support management and ALCO reporting through dashboards, insights, and presentations.
Qualifications & Skills: • Bachelor’s degree in Finance, Economics, Accounting, or related field (CFA or Master’s preferred).
• 5–8 years of experience in ALM, Treasury, Risk Management, or FP&A.
• Strong analytical skills with proficiency in financial modeling and Excel.
• Understanding of regulatory liquidity requirements (LCR, NSFR, Basel III) and balance sheet management.
• Experience with ALM or Treasury systems (e.
g., Murex, Moody’s RiskConfidence, QRM) is preferred.
Desirable Skills: • Experience with BI/data visualization (Power BI, Tableau).
• Familiarity with structured funding or capital markets instruments