• Macroeconomics and Qatari financial markets
• International markets and trends
• Asset management and capital market products and associated risks across the sector
• Stock, debt and other capital market instruments including Islamic products
• Capital market intermediaries and operations
• Statistical research, analytical ability and interpretation capability
• Econometric model interpretation, stress testing and scenario analysis
• Knowledge of inter-linkages between market participants, players, financial intermediaries, the wider FS sector, and the local economy
• Qatar and international regulations and standards (e.g. IOSCO, etc.)