Procurement Summary
Country : Saudi Arabia
Summary : Project Forms and Management of Market Risk and Liquidity
Deadline : 19 Nov 2024
Other Information
Notice Type : Tender
TOT Ref.No.: 109529973
Document Ref. No. : 10000290
Competition : ICB
Financier : Self Financed
Purchaser Ownership : Public
Tender Value : Refer Document
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Login to see detailsTender Details
Project forms and management of market risk and liquidity
The purpose of the competition: The Export and Import Bank invites the Saudi Export and Import Bank that the consulting companies are not invited to provide offers to develop a comprehensive strategy to manage market risk and liquidity, including the framework associated with them, risk acceptance level statements, associated models, and SAS requirements. This initiative aims to align market risk and liquidity risk with the general goals of the bank and risk strategy, to ensure strong governance and effective risk alleviation. The selected consultative company is expected to understand a business model/task of the Saudi export and import bank (Saudi Exim Bank) completely through sessions and meetings with stakeholders in the bank to be able to provide a framework for market risk management and liquidity designed in particular to comply with the needs of the bank and requirements Systems.
The value of competition documents: 500.00 riyals
Reference number: 241039025007
Competition number: 10000290
Competition type: General competition
Competition case: accredited
Place of implementation: Inside the Kingdom, Riyadh, Riyadh
Documents
Tender Notice