Manager

2 weeks ago


Washington, United States IFC Systems Corporation Full time

**Manager**

**Job #**:

- req27303**Organization**:

- World Bank**Sector**:

- Risk**Grade**:

- GH**Term Duration**:

- 3 years 0 months**Recruitment Type**:

- International Recruitment**Location**:

- Washington, DC,United States**Required Language(s)**:

- English**Preferred Language(s)**:
**Closing Date**:

- 5/10/2024 (MM/DD/YYYY) at 11:59pm UTC**Description**

**The office of the Chief Risk Officer (CRO)** is responsible for leading the risk management function for IBRD and IDA, with oversight responsibility for financial and operational risks including policy formulation, measurement, monitoring and reporting. The CRO works closely with other risk units in the Bank Group to address cross-cutting issues, support innovation in a sustainable manner, and share best practices. It also fosters collaboration in risk management across other MDBs. CRO plays a key role in capital structure and interaction with rating agencies, as well as, internal and external auditors and Board communication on risk related matters. It consists of Country Credit Risk Department (CROCR), Market and Counterparty Risk Department (CROMC), and Operational Risk Department (CROOR).

The Market & Counterparty Risk Directorate (CROMC) focuses on oversight of risk in four main areas:
1. Market risk, which covers ALM, interest-rate, spread (funding and investments) foreign-exchange risk, and the availability/cost of, or access to, ready liquidity and long-term funding;
2. Counterparty (i.e., no sovereign-lending) Exposure & Liquidity risk, which includes risks to IBRD resulting from changes in creditworthiness of IBRD’s commercial/derivative counterparties, and MTM/liquidity risks of the treasury investment portfolios;
3. Model risk, which covers financial-risk (capital, risk, income, etc.) models, across the WBG excluding IFC, in terms of model, risk, & governance; and
4. Valuation & Analytics, which includes validation and verification of valuation models & market data, and independent price verification (IPV) of fair-valued products.

The primary purpose of the VA function is to ensure the integrity of valuations in IBRD and IDA’s financial statements. VA does so by independently overseeing implementation of the models in the designated valuation system and following through independent price verification.

**Responsibilities and Accountabilities**:

- Functions as point person and domain expert in negotiations, communications with external and internal stakeholders for valuation related matters.
- Provides thought leadership and recommendations. Proposes, where appropriate, changes to improve the efficacy and efficiency of valuation model management directives, policies & procedures, and platforms.
- Oversee and proactively implement process improvements with the objective of increasing efficiency and accuracy of valuations produced.
- Lead/participate in projects undertaken by the Market Risk Department and collaborate in cross VPU projects as necessary.
- Build, sustain and manage relationships with external and internal clients, management, and staff to achieve institutional goals in an effective manner. Proactively interact with World Bank Treasury (TRE) and Controller (WFA) business units to stay abreast of new/proposed activities that may have valuation implications.
- Manage and oversee the engagement of technical consultants.
- Provides direction, coaching, and feedback to continually develop and maintain a high performing, talented and diverse team of quant professionals; foster learning and development strategies to maintain a professional workforce with up-to-date skills, knowledge, and experience.
- Stays current with the latest developments in quantitative modelling techniques, identifying opportunities to improve existing models and tools.
- Develops and maintains industry contacts to remain abreast of best practices.
- Collaborates closely with external auditors.

**Selection Criteria**
- Prior knowledge and experience with derivatives, structured products, valuation models and P&L attributions. Direct relevant market experience in a major financial institution in Structuring/Trading/Valuation/Active Risk management of interest rate and/or foreign exchange derivatives is strongly preferred.
- Outstanding written and oral communication skills and ability to convey complex issues clearly to both internal and external audiences at all levels.
- Ability to anticipate, with quick response, capability, and selectiveness.
- Ability to self-research and address a wide range of issues and situations, often emerging and at short notice.
- Strong interpersonal skills to work effectively in teams, and with management and staff at all levels.
- Demonstrated high level of initiative, self-confidence, and a self-starter. Proven track record of innovation and continuous improvements of complicated processes.
- Proven ability to manage teams located in different countries, time zones and geographic areas.
- Ability to lead thro



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