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Zarai Taraqiati Bank Ltd ZTBL Jobs August 2026



Zarai Taraqiati Bank Ltd ZTBL Jobs August 2026

Organization:  Zarai Taraqiati Bank Ltd ZTBL   

CAREER OPPORTUNITIES: ZTBL, a ‘AAA’ rated renowned specialized financial institution with a wide network of over 500 Branches all across the country is inviting applications from energetic and challenge-oriented professionals with proven track record and capacity to perform as a catalyst for transformation in a challenging environment. The individuals who fulfill the basic eligibility criteria may apply for the positions:

Head Operational Risk Unit

(VP-I / VP) (No. of Position- 1)



Experience:

  • Minimum 10 Years’ experience in Bank/Financial Institutions.
  • Candidate having minimum two years’ relevant experience at Senior managerial level in Operational risk management

Qualification:

  • Minimum Bachelor degree from HEC recognized Institute/University (National/International).

Other Skills / Expertise / Knowledge Required:

  • Exceptional leadership and team-building skills
  • Well conversant with SBP Prudential Regulations & Guidelines
  • Knowledge of banking products, policies and procedures
  • Excellent verbal and written communication skills
  • Proficiency MS Office & databases
  • Sound knowledge of Islamic banking

Job Responsibilities:

  • Lead and manage the Operational Risk Unit in identifying, assessing, monitoring, and mitigating operational risks across the bank and strengthen risk culture through training and awareness programs.
  • Implement Operational Risk Management Framework (ORMF) across the Bank.
  • Design & Oversee Risk & Control Self-Assessments (RCSA), Key Risk Indicators (KRIs) and maintain bank wide risk registers and conduct scenario analysis.
  • Supervised bank wide accurate recording and reporting of Loss Data, root cause analysis, and risk mitigation initiatives.
  • Support business units in embedding risk awareness and ensuring effective implementation of operational risk controls.
  • Develop internal stress-testing scenarios in area of Operational risks and Climate Risks
  • Monitor bank wide tolerance and appetite levels in Operational Risk
  • Prepare agenda items, dashboards for reports to senior management / risk committees covering model risk exposures, operational loss trends, and control effectiveness.
  • Liaison up with internal and external auditors and regulators on model operational risks
  • Ensure compliance Operational risk regulations with reference to SBP and Basel II/III guidelines
  • Assess and Review operational risk implications of new products, processes, and systems prior to launch
  • Review operational and concentration risk associated with outsourcing arrangements, in line with SBP’s Outsourcing Risk Management guidelines
  • Any other task assigned by the management.

Manager IFRS-9 & Risk Analytics

(AVP-I/AVP) (No. of Position-1)

Experience:

  • Minimum 8 years’ experience in Bank / Financial Institutions.
  • Candidate having minimum one-year relevant experience in implementation and reporting of IFRS 9

Qualification:

  • Minimum Bachelor degree from HEC recognized Institute/University (National/International), however in case of professional qualification like CA, ICMA (partly qualified) will also be eligible.

Job Responsibilities:

  • Managing & implementing the ongoing quarterly production of IFRS 9 expected credit losses using ZTBLs Model, whilst providing insight and analytics.
  • Developing additional IFRS 9 ECL models and/or PD/LGD scorecards should the Bank widen its product offerings.
  • Enhancing IFRS 9 model monitoring and management information packs to allow Bank’s senior management to understand new and potentially even more complex products and investments in the future.
  • Provide the lead in setting out and cascading IFRS 9 standards and requirements to the Bank’s due diligence teams and processes to ensure that new delivery partners will provide the necessary data and model output for IFRS 9.
  • Work with ZTBL’s finance team to ensure the relevant journal balance movements reconciliations, MI reports and the Bank’s annual report and accounts entries are produced in line with IFRS 9 and the Bank’s financial reporting timelines.
  • Monitoring of ongoing model inputs, assumptions and data for successful model output. Work as a team in development of new models and back testing of the existing models.
  • Providing and presenting advanced analytical insights to the business teams and Senior Stakeholder, in addition to explaining new technical concepts when necessary and ensuring that IFRS 9 standards and requirements are cascaded and met across the organization.
  • Any other task assigned by the management.

Environment Risk Officer

(OG-II) (No. of Position-01)

Experience:

  • Minimum 03 Years’ experience in Bank/Financial Institutions or any reputable organization with one-year relevant experience

Qualification:

  • Minimum Bachelor degree from HEC recognized Institute/University (National/International).

Job Responsibilities:

  • Formulating and development of environment & social risk management procedures to identify and assess environmental risks.
  • Work on the Environmental & Social Risk Management Framework as per SBP guidelines.
  • Ensure compliance with audit and inspection reports/observations.
  • Focal person representing Risk Management for coordination on matters regarding Green-banking guidelines of SBP.
  • To provide input on environmental risks management for new products and services where required and periodic reporting.
  • Working and updating ZTBL Environmental Risk Management procedure according to the Green banking guidelines of SBP.
  • Assist in development of required reporting.
  • Any other task assigned by the management.

Market & Liquidity Risk Analyst

(OG-II) (No. of Position-01)

Experience:

  • Minimum 03 Years’ experience in Bank/Financial Institutions.
  • Including one-year experience in Market Risk and Liquidity Risk Management

Qualification:

  • Minimum Bachelor degree from HEC recognized Institute/University (National/International).

Job Responsibilities:

  • Preparation of Market and Liquidity Risk Dashboard for the bank.
  • Preparation of Basel Reports Stress testing, CAR, LCR, NSFR, etc.
  • Preparation of ALCO Packs for deliberation in ALCO meetings.
  • Review & Analysis of treasury Portfolio, Policy & Product periodic basis.
  • Preparation of periodical Risk Reports VAR, Sensitivity, Duration, MTM etc.
  • Monitoring treasury activities to reduce Market & Liquidity Risk.
  • Any other task assigned by the management.

Eligibility/Ineligibility Criteria:

  • Maximum age limit for VP/VP-I 50-years, AVP-I/AVP 45-years OG-II 35-years as on closing date to apply.
  • Market competitive remuneration will be offered.
  • ZTBL is an equal opportunity employer, females and PWDs are encouraged to apply.
  • Only short-listed candidates will be called for interview. No TA/DA shall be admissible for interviews.
  • Interested candidates may apply online through website: https://www.ztbl.com.pk/jobs till 30 August, 2026 Only online submission of application within due date will be accepted.
  • The Bank reserves the right to accept or reject any application(s) without assigning any reason(s) thereof.
  • Applicant dismissed, removed or terminated by previous employer(s) on disciplinary grounds is not eligible to apply.
  • Applicant convicted by any court of law is not eligible to apply.

For any related query, please contact Head (Recruitment & Selection), ZTBL, Head Office, Islamabad @ 051-9252724

Published Date: 16 August 2026

Newspaper: Dawn

Zarai Taraqiati Bank Ltd ZTBL Jobs 16 August 2026 Dawn 1

Zarai Taraqiati Bank Ltd ZTBL Jobs August 2026

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