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Manager, Market & Liquidity Risk at DIB Bank Kenya Limited (DIBBKE)
JobSearch
Nairobi 🇰🇪 Kenya
Posted 3 days ago (21 Sep 2026) Deadline: 28 Sep 2026 Updated 2 days ago
How to Apply
Send your CV and cover letter to careers@dibkenya.co.ke, quoting the job title in the email subject. Applications are due by Monday, September 28th.
Job Description
The Manager, Market & Liquidity Risk will lead the bank’s risk function, ensuring compliance with regulatory standards and the Group’s risk framework. Responsibilities include planning and implementing liquidity, market and profit‑rate risk policies, preparing committee reports and quantifying risks under ICAAP. The role also monitors daily risk exposures, analyses P&L drivers and recommends improvements to strengthen internal controls.
Qualifications & Requirements
- • Bachelor’s degree (BA/BSc/HND) or higher (MBA/MSc/MA) or relevant professional certificate
Required Skills
Responsibilities
- • Manage the Market and Liquidity Risk function across the bank
- • Assist in planning and implementing liquidity, market and profit‑rate risk policies within the Enterprise Risk Management framework
- • Ensure compliance with regulatory requirements and internal risk appetite
- • Prepare and present risk reports for various committees
- • Support quantification of liquidity and market risk under the ICAAP process
- • Oversee daily capture, monitoring, control and reporting of market and liquidity risks
- • Analyse P&L and risk drivers to ensure accurate risk assessment
- • Develop and implement measures to enhance the risk management framework and internal controls
- • Maintain appropriate risk limits such as VaR and sensitivities