Job title

Risk Analyst



Risk Department


Reporting to

Risk Manager



Main purpose of job

The main purpose of the job is to Assimilate and understand OIF mission, values, structure and organization and Keep a close watch on the changing economic trends in market and competitive landscape






The Risk Analyst is primarily responsible for coordinating all risks that could impact OIF. His/her responsibilities may be classified as follows:


  Investments; within Investment Policy Statement and all potential risks are identified, measured, managed and reported.

  Market risk; all potential risks identified, measured, managed and reported in terms of the sophistication and complexity required for the Fund.

  Operational risk, all high risk operational impact from inadequate or failed processes, people, systems or external events are identified, managed and reported.

  Assist the Risk Manager in the achievement of the Fund's strategic objectives.

  Ensure that the Risk Department is provided with adequate number of staff with the requisite skills. Supervise the risk staff, set the departmental and individual employee goals and provide routine evaluations of progress towards these goals, identify and promote professional growth opportunities for staff.

  While maintaining independence and integrity in protecting the risk parameters of the Fund, the Head of Risk has a duty to ensure that he is acting reasonably and realistically in carrying out his duties.




Person Specifications

Qualifications and experience


  Bachelors Degree of Finance/Accounting/ or Business Administration




Personal attributes


  Unquestioned personal and professional integrity

  A self-motivated, result-oriented professional with a sense of urgency in achieving objectives.

  An open and approachable professional style that encourages open communication and co-operation at all levels.




To apply, please send your CV to and quote in the subject the Job Code (JD-RM-RA) in no later than 18/02/2018