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  • Posted: Jan 26, 2026
    Deadline: Feb 1, 2026
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    I&M Bank is a wholly owned subsidiary of I&M Holdings Limited, a publicly quoted company at the Nairobi Securities Exchange (NSE). The bank possesses a rich heritage in banking.
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    Senior Manager, Financial Risk & Model Risk Management

    Job Purpose:

    • Lead Market, Liquidity, IRRBB and Balance Sheet risk frameworks, while also overseeing financial model governance, validation and performance assurance.
    • This role is suited for a specialist with strong quantitative skills, treasury product knowledge and a proven ability to ensure robust modelling and regulatory risk compliance, including ICAAP and ILAAP.

    Key Responsibilities:
    Financial Risk Governance & Implementation:

    • Lead and enhance Market, Liquidity and Balance Sheet Risk policies and frameworks.
    • Ensure effective financial risk oversight across Treasury, ALM and Risk functions.
    • Drive regulatory alignment with risk appetite, internal frameworks and supervisory guidelines.
    • Support implementation and optimization of risk systems, analytics tools and datasets.
    • Lead and support financial risk components in ICAAP and ILAAP preparation, documentation and annual reviews.
    • Participate in risk methodology upgrades, regulatory projects and Treasury system enhancements.

    Financial Modelling & Model Risk Management:

    • Lead model development, calibration, back-testing and enhancement for Market and Liquidity Risk.
    • Oversee the end-to-end model lifecycle including validation and retirement decisions.
    • Establish model governance standards and ensure full documentation and model traceability.
    • Perform independent model assessments to evaluate accuracy, assumptions and limitations.
    • Monitor model performance, usage controls and ensure prompt remediation of model weaknesses.
    • Ensure adherence to model governance policies, audit expectations and regulatory model guidelines.

    Risk Identification, Measurement & Quantitative Analysis:

    • Independently analyze and assess balance sheet structure, funding maturity gaps and interest rate sensitivities.
    • Model liquidity gaps, behavioral assumptions and IRRBB metrics.
    • Assess FX and rate volatility impacts on capital, earnings and market value.
    • Conduct independent valuation reviews and assess treasury P&L attribution.
    • Lead design and execution of stress tests, scenario analysis and risk simulations.
    • Provide quantitative insights to ALCO, Executive Management and Treasury stakeholders.

    Risk Monitoring, Reporting & Decision Support:

    • Monitor daily market and liquidity exposures and evaluate early-warning signals.
    • Produce high-quality reports for ALCO, Executive Committees, Board and Regulators.
    • Track risk appetite utilization relating to liquidity, funding and market risk limits.
    • Enhance risk dashboards, reporting automation and visual analytics capability.
    • Analyse key P&L drivers and explain market movements affecting the balance sheet.
    • Provide forward-looking risk commentary, scenario outcomes and emerging risk insights.

    Academic Qualifications:

    • Bachelor’s degree in finance, Mathematics, Economics, Statistics, Actuarial Science or related field.
    • Professional certification such as FRM, CFA, PRM, CQF is an added advantage.

    Experience & Technical Skills:

    • 7+ years’ experience in Market, Liquidity or Balance Sheet Financial Risk within banking.
    • Experience in ICAAP and ILAAP contributions, stress testing and supervisory reporting.
    • Strong modelling skills with hands-on financial model development or validation experience.
    • Proficiency in analytical tools such as Excel (advanced), Python, desirable.
    • Strong knowledge of ALM concepts, IRRBB, liquidity metrics and treasury valuation.
    • Excellent analytical thinking, communication and reporting ability with attention to detail.

    Check how your CV aligns with this job

    Method of Application

    Interested and qualified? Go to I&M Bank on imbank.bamboohr.com to apply

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Average Salary at I&M Bank
KSh 133K from 18 employees
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