Skill Inventory Matrix
Enabler for Internal Mobility Program
Records
| ID | Sector | Division | Department | Unit | Technical Skills |
|---|---|---|---|---|---|
| 976 | Risk Management | Market & ALM Risk | Knowledge of Interest Rate Risk in the Banking Book (IRRBB) and broader market risk management principles in line with regulatory expectations. | ||
| 977 | Risk Management | Market & ALM Risk | Knowledge of liquidity and market risk frameworks. | ||
| 978 | Risk Management | Market & ALM Risk | Knowledge of Counterparty Credit Risk (CCR) and Credit Valuation Adjustment (CVA) methodologies. | ||
| 979 | Risk Management | Market & ALM Risk | Knowledge of Basel III and IFRS standards. | ||
| 980 | Risk Management | Market & ALM Risk | Ability to conduct stress testing and scenario analysis for evaluating asset-liability management (ALM) and market risk exposures. | ||
| 981 | Risk Management | Market & ALM Risk | Ability to utilize MS Excel for risk analytics, data modeling, and generating regulatory reports. | ||
| 982 | Risk Management | Market & ALM Risk | Market Risk | Knowledge of market risk management frameworks, policies, and regulatory expectations. | |
| 983 | Risk Management | Market & ALM Risk | Market Risk | Knowledge of liquidity risk management principles and integration with the broader market risk framework. | |
| 984 | Risk Management | Market & ALM Risk | Market Risk | Knowledge of regulatory market risk reporting standards (e.g., SAMA, Basel III) | |
| 985 | Risk Management | Market & ALM Risk | Market Risk | Ability to use Excel and risk systems for portfolio risk analytics, market risk exposure tracking, and scenario simulations. | |
| 986 | Risk Management | Market & ALM Risk | Market Risk | Ability to monitor and escalate breaches in market risk limits and ensure adherence to approved market risk appetite parameters. | |
| 987 | Risk Management | Market & ALM Risk | Market Risk | Ability to implement and enhance risk monitoring processes, control systems, and documentation aligned with internal policies and regulatory requirements. | |
| 988 | Risk Management | Market & ALM Risk | ALM Risk | Knowledge of liquidity risk management frameworks and regulatory guidelines. | |
| 989 | Risk Management | Market & ALM Risk | ALM Risk | Knowledge of Contingency Funding Planning (CFP) including identification and activation of early warning indicators and funding options under stress scenarios. | |
| 990 | Risk Management | Market & ALM Risk | ALM Risk | Knowledge of ILAAP framework implementation aligned with SAMA standards for both business-as-usual and stress conditions. | |
| 991 | Risk Management | Market & ALM Risk | ALM Risk | Knowledge of hedging strategies and market risk mitigation techniques, with ability to assess risk impact prior to ALCO execution. | |
| 992 | Risk Management | Market & ALM Risk | ALM Risk | Ability to monitor, control, and report the Bank’s liquidity and funding positions to SAMA and internal committees (ALCO, RMC) with accuracy and timeliness. |