Develop and execute GCF liquidity and market risk strategy for blended finance mandate
Lead policies,procedures,and tools ensuring liquidity resilience under normal and stress conditions
Oversee interest rate and FX exposure; build VaR and stress testing frameworks
What they want
Master's in Finance,Business,Economics,Mathematics preferred; Bachelor's plus two years accepted
Fifteen plus years at international financial institution or MDB on emerging markets ALM
Deep knowledge of liquidity,capital adequacy,and market risk regulatory and rating frameworks
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Nice to have
Operational risk experience and good understanding of operational risk frameworks
CFA,FRM,or equivalent professional risk or finance qualification preferred
Knowledge of climate change and multilateral climate finance strategies is advantageous
Seoulstart's read
Visa tier (likely)
Visa requirement not stated, verify with recruiter
Korean language
Korean not required
English friendliness
High: JD in English, foreign-friendly signals
Context
Multilateral climate fund HQ in Incheon; English workplace,Grade C senior hire,pay follows GCF staff rules not the JD.
This is Seoulstart's analysis of the public job description, not the employer's stated policy. Verify visa sponsorship, language requirements, and remote allowances directly with the recruiter.