Overview

Responsibilities:
  • Identify financial risks arising from the Central Bank’s market operations and develop appropriate risk limits
  • Conduct medium-term assessments of commercial banks’ primary liquidity demand
  • Assess and monitor the market value of the Central Bank’s financial assets and liabilities
  • Analyze Armenia’s money and government securities markets to identify and assess potential market risks
  • Determine and publish the initial margin and eligibility threshold for securities accepted in repo transactions with the Central Bank of Armenia
  • Analyze the behavior of participants in the Armenian government securities market and assess the associated risks
  • Conduct targeted analytical studies in response to market developments and perform other duties related to the position
Required Qualifications:
  • Higher education in Actuarial Science, Financial Mathematics, Finance, Economics, or a related field
  • At least 1 year of professional experience in the financial sector
  • Strong knowledge of financial analysis and risk management
  • Solid understanding of financial mathematics, financial modeling, financial markets, and financial instruments
  • Good knowledge of statistics and macroeconomics
  • Knowledge of the legislation and secondary regulations applicable to the Central Bank of Armenia
  • Proficiency in Bloomberg, MATLAB, Python, R, EViews, or Stata
  • Financial analysis
  • Risk management
  • Financial mathematics
  • Financial modeling
  • Statistics
  • Macroeconomics
Technologies:
  • Bloomberg
  • MATLAB
  • Python
  • R
  • EViews
  • Stata
Note:

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