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Salwa Joud, Senior Market Risk Analyst

Salwa Joud

Senior Market Risk Analyst·Commercial Bank of Dubai

United Arab Emirates

Diploma, Chartered Financial Analyst

Work experience

Total years of experience: 14 years, 5 months

Senior Market Risk Analyst

September 2016 - Present

Commercial Bank of Dubai

Dubai, United Arab Emirates

September 2016 - Present

•Measurement, Monitoring and Reporting of Market and Liquidity Risks for Investments in Fixed Income, Money Markets and Derivatives: P&L, VaR and Backtest, Stress Tests, CVA, Liquidity Coverage Ratios, RAROC
•Monitoring of Credit Exposures through PFE & EPE and Collateral Management
•Assist in Development and Implementation of Market & Liquidity Risk Policies
•Implement and Produce Risk Reports for Senior Management along with the Preparation of Packs for Board of Directors, ALCO, Investment Committees and Central Bank of UAE
•Ensure Middle Office Tasks: Data Validation, Instrument & Counterparty Setups, Liaising with Trading, Structuring & Sales Desks, Back Office and IT.

Company industry:
Banking
Job role:
Finance and Investment

Market Risk Officer

June 2014 - September 2016

Majid Al Futtaim Trust

Dubai, United Arab Emirates

June 2014 - September 2016

•Production of Performance & Risk Reports for a Multi-asset Class Global Portfolio: Market Risk Indicators, P&L, Performance Attribution and Factsheets
•Quantitative Analysis to establish Risk-Return profile for existing funds, and for Due Diligence Process
•Implementation, Review and Monitoring of Investment Risk Policies
•Preparation of Packs for Investment Committees and Board of Directors.

Company industry:
Financial Services
Job role:
Accounting and Auditing

Market Risk Analyst

January 2013 - July 2013

Société Générale Corporate and Investment Banking

France

January 2013 - July 2013

•Production of Breach Reports for Long Short, Event Driven & CTA Funds (Liquidity, Concentration, FX Exposure, Credit Ratings, Stress Tests)
•Support Hedge Fund Relationship Managers in providing early warnings and corrective measures
•Participation in the procedures for launching new Managed Funds on the Platform: Master Agreements and Metrics
•Developed Risk-Monitoring tools (KRI Key Risk Indicators, VaR for UCITS Funds).

Company industry:
Banking
Job role:
Accounting and Auditing

Risk & Performance Reporting Analyst

October 2011 - October 2012

Caisse des Dépôts et Consignations (Sovereign Wealth Fund)

France

October 2011 - October 2012

•Production of Risk and Performance Reports for Equity, Fixed Income and Credit Derivatives Investments
•Study of Investments Decisions and Markets Changes Impact on Equities through Performance Attribution and Internal Rates of Return
•Implementation of Risk and Performance Monitoring tools to the Emerging Markets Equities and Sovereign Debt Portfolio

Company industry:
Public Administration
Job role:
Accounting and Auditing

Actuarial Studies Officer

November 2010 - July 2011

Allianz Eurocourtage

France

November 2010 - July 2011

•Issuance of quarterly Technical Accounts: Mathematical Provisions & Estimate of Claims
•Review and Audit of Clients’ contracts, Statistical and Yield Analysis for Pooled contracts (>5 M$)
•Created and updated customized Dashboards that synthesize and track Clients’ Risks
•Three Presentations during Staff Training sessions on: Solvency II, Work Stoppage, Calculus of Annuities.

Company industry:
Insurance & TPA
Job role:
Accounting and Auditing

Education

CFA institute

June 2018

June 2018

Diploma, Chartered Financial Analyst

United Arab Emirates

The Professional Risk Managers’ International Association

September 2014

September 2014

Diploma, PRM, Professional Risk Manager

France

International certification in risk Management, 4 modules: - Finance Theory, Financial Instruments and Markets - Mathematical Foundations of Risk Measurement - Risk Management Practices - Case Studies, Standards of Best Practice, Conduct and Ethics
View attachment

Paris Dauphine University

October 2012

October 2012

Master's degree, Statstics and Financial Engineering

France

M.S "Statistics and Financial Engineering " in an Apprenticeship Program Major: Quantification of Financial Risk Management. Maths & Computer for Decision and Organization Department Paris Dauphine University - Paris / France

Saint Joseph University

July 2009

July 2009

Bachelor's degree, Fundamental Mathematics

Lebanon

2006-2009 BS in Fundamental Mathematics Faculty of Sciences

Skills

Quantitative Finance
Expert
Quantitative Finance
Expert
Risk Analysis
Expert
Risk Analysis
Expert
Investment Advisory
Expert
Investment Advisory
Expert
Financial Analysis
Expert
Financial Analysis
Expert
Performance Reporting
Expert
Performance Reporting
Expert
Microsof Office
Expert
Microsof Office
Expert
VBA C/C++, MATLAB, MAPLE, SCILAB
Intermediate
VBA C/C++, MATLAB, MAPLE, SCILAB
Intermediate
Lotus Notes, Outlook, Photoshop, DreamWeaver
Intermediate
Lotus Notes, Outlook, Photoshop, DreamWeaver
Intermediate
Business Objects, Bloomberg, Morningstar Direct, RiskMetrics, FactSet, Sophis
Expert
Business Objects, Bloomberg, Morningstar Direct, RiskMetrics, FactSet, Sophis
Expert
Quantitative Finance
Expert
Quantitative Finance
Expert
Risk Analysis
Expert
Risk Analysis
Expert
Investment Advisory
Expert
Investment Advisory
Expert
Financial Analysis
Expert
Financial Analysis
Expert
Performance Reporting
Expert
Performance Reporting
Expert

Languages

Arabic

Native Speaker

French

Expert

English

Expert

Spanish

Beginner