Market & Credit Risk Analyst – Jobs In Ugnada
Job role insights
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Date posted
August 16, 2025
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Closing date
September 15, 2025
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Hiring location
Jobs in Kampala
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Offered salary
Ugx450 - Ugx900/hour
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Career level
Banking finance
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Qualification
UCE
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Experience
1 year 2 Years
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Quantity
1 person
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Gender
Female Male
Description
Market & Credit Risk Analyst
Job Title: Market & Credit Risk Analyst
Organization: FINCA Uganda
Location: Kampala, Uganda
Job Type: Full-time
Job Category: Finance / Risk Management / Banking
Job Summary
FINCA Uganda is seeking a Market & Credit Risk Analyst to join its Risk Management team. This entry-level role offers an exciting opportunity to gain hands-on experience in monitoring, analyzing, and reporting credit and market risks across the institution’s lending and investment activities. The position is ideal for individuals aiming to build a career in financial risk management within the banking and microfinance sector.
Key Duties and Responsibilities
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Assist in monitoring credit risk exposures across the loan portfolio.
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Support the analysis of market risks, including interest rate, liquidity, and foreign exchange exposures.
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Prepare regular risk reports and dashboards for internal stakeholders.
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Participate in data collection and portfolio segmentation for risk analysis.
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Assist in credit risk assessments of new and existing clients.
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Support Treasury/Finance and the Head of Risk Management in establishing internal liquidity, credit, interest rate, and foreign exchange limits and performing monthly stress tests.
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Monitor and report on regulatory ratios (lending ratios, liquid assets/total assets ratio, NPA, etc.).
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Contribute to the review and implementation of policies and procedures, recommending industry best practices.
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Review Risk and Control Self Assessments for lending departments and Finance.
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Follow up on internal and external audit issues and risk assessment recommendations.
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Contribute to system implementation projects in credit risk (e.g., stress testing, ICAAP, Credit Management Systems).
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Ensure data accuracy and support the maintenance of risk databases.
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Collaborate with the risk manager and other departments to support risk control initiatives.
Qualifications & Experience
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Bachelor’s degree in Risk, Commerce, Economics, Statistics, or a related field.
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Possession of a risk management certificate is an added advantage.
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1–2 years of relevant work or internship experience in a financial institution.
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Strong analytical, problem-solving, and communication skills.
How to Apply
Interested candidates are encouraged to submit their CVs, current position, and relevant professional/academic certificates to:
Email: [email protected]
Skills
Employment Type:
Interested in this job?
25 days left to apply