Senior Sovereign Portfolio Risk Officer

Asian Infrastructure Investment Bank - AIIB

Staff Closes 07 Aug 2026 8 days left

Overview

Develop the Bank's position on macro-risk considerations in sovereign-backed financing exposures and participate in risk discussions across peer multilateral development banks.


Key Responsibilities
  • Strengthen the Bank's understanding of the dynamics in development institutions and the various positions taken by major forums.
  • Liaise and interact with external stakeholders; peer MDBs; supra and government organizations; and organizations involved in sovereign debt, including in discussions around restructuring, consultations with firms over sovereign exposure, and benchmarking and standardization of potential risk parameters.
  • Coordinate closely with other risk functions in portfolio risk management and sovereign risk, including for developing narratives around the institutional position of the Bank.
Required Experience

Minimum 8-10 years of relevant practical experience in an MDB or development financial institution, with a focus on sovereign and supranational, potentially including on the restructuring of sovereign debt.

Qualifications

Master's degree or equivalent in quantitative disciplines such as statistics, mathematics, finance, engineering, physics, economics, or a related field.

Other Details
Languages Required
Effective written and verbal communication skills in English.
Languages Preferred
Not specified
Contract Duration
Not specified
Work Modality
Not specified
Remuneration
Not specified
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