Last updated: 2025-05-20

10 Risk Management jobs in Dubai.

Hiring now: Family Office Investments @ Careers In, Sme Banking Relationship @ Fab, Risk And Identity Score S @ Visa, Head Of Risk @ Ghobash, Risk Engr @ Parsons, Relationship Mgr Banking @ Banking In, Vp Wholesale Compliance @ Nomura, Mortgage Spec @ Firstabudh, Portfolio Mgr Emerging Ma @ Caxton Ass.Explore more at at kaamvaam.com

🔥 Skills

risk management (5) portfolio management (3) Risk Management (3) compliance (2) Risk Assessment (2) Training (2) investment (1) financial products (1) asset classes (1) investment portfolios (1)

📍 Locations

Dubai (10)

Careers International

Skills & Focus: investment, risk management, portfolio management, financial products, asset classes, investment portfolios, ROI, communication skills, market conditions, economic trends
Experience: 5+ years
Type: Full time

Fab

Skills & Focus: SME banking, credit risk, customer relationship management, financial analysis, business development, sales targets, risk management, compliance, financial services, entrepreneurial acumen
About the Company: FAB plays a significant role in driving the economic health of the UAE and supports domestic SME business.
Experience: Experience in financial services and SME banking
Type: Full-time

Visa

Skills & Focus: Risk Management, Identity Solutions, Predictive Scores, Fraud Domain, Payments Industry, Revenue Growth, Client Stakeholders, Business Optimization, Go to Market, Value Added Services
About the Company: Visa is a global payments technology company that connects consumers, businesses, banks, and governments to fast, secure and reliable electronic payments.
Experience: Experienced
Type: Hybrid

Ghobash Group

Skills & Focus: risk management, framework development, risk assessment, risk mitigation, compliance, risk culture, crisis management, risk identification, operational risks, regulatory requirements
About the Company: The Ghobash Group encompasses a diverse portfolio including financial investments and real estate, focusing on operational, financial, strategic, and reputatio…

Parsons

Skills & Focus: Risk Assessment, Mitigation Strategies, Analytical Thinking, Engineering Principles, Documentation, Continuous Improvement, Communication Skills, Risk Management, Training, GCC Experience
About the Company: Parsons Corporation is a global company focused on infrastructure and technology solutions across various sectors including transportation, environmental, nati…
Experience: Minimum 5 years’ experience in risk management or a related area.
Benefits: Competitive pay and retirement plans, paid time off, career development opportunities, health and wellness programs.

Banking Institution

Skills & Focus: customer service, credit analysis, financial modelling, risk management, portfolio management, cross selling, loan targets, audit compliance, KYC, financial statements

Nomura Holdings, Inc.

Skills & Focus: Compliance, Capital Markets, Regulatory, Advising, Monitoring, Reporting, Training, Risk Management, UAE AML legislation, Analytical Skills
About the Company: Nomura is a global financial services group with an integrated network spanning approximately 30 countries and regions. By connecting markets East & West, Nomu…
Experience: Minimum 5 years of relevant professional experience including providing trainings and on Personal Account Dealing rules

Careers International

Skills & Focus: Risk Control, Audit, Strategy, Engineer, Internal Supervision, Data Analysis, Risk Assessment, SQL, Communication, Teamwork
Experience: 4-5 years
Type: Full time

Firstabudhabibank

Skills & Focus: Mortgage, Lending Opportunities, Credit Portfolio, Client Relationship, Financial Reports, Risk Evaluation, Documentation Compliance, Customer Service, Business Growth, Operational Quality

Caxton Associates

Skills & Focus: Emerging Markets Macro, portfolio management, risk management, geopolitical analysis, investment acumen, alpha generation, fundamental economic analysis, collaborative team environment, decision-making abilities, financial markets
About the Company: Caxton Associates, founded in 1983, is a global trading and investment firm with offices in London, New York, Monaco, Singapore, and Dubai. Caxton Associates’ …
Experience: A minimum of 5 years of experience in portfolio management, preferably within a hedge fund.
Type: Full-time