Join our team as a Financial Risk Manager, where you will be responsible for the development and implementation of risk assessment models, regulatory compliance, and enhancing our risk management strategies in the investment banking sector.
Responsibilities
Manage the financial risk assessment process for new products and services.
Provide strategic advice on risk-related issues to senior management.
Stay updated on industry trends and regulatory changes affecting risk management.
Conduct risk assessments and audits to ensure compliance with internal standards.
Create an environment that fosters risk awareness and accountability among staff.
Requirements
Education
Bachelor's degree in Finance or Risk Management
Master's degree is highly regarded
Experience
7+ years of experience in risk management within the financial services sector.
Technical Skills
Quantitative Analysis
Data Analysis Tools
Soft Skills
Leadership
Negotiation
Certifications
Certified Risk Management Professional
Languages
English: Fluent
Advantageous
Quantitative Research Experience: Background in quantitative research methods is beneficial.
Ethical Leadership Experience: Demonstrated ethical leadership in financial decision-making.
Benefits
Generous annual leave and public holidays
Health and wellness programs
Flexible working hours
Support for continuous learning and certifications
Company Culture
Diversity and Inclusion: We value the diverse backgrounds and perspectives of our team members.
Continuous Learning: We invest in our employees' growth through training and development opportunities.
Work-Life Balance: We promote a healthy work-life balance for all our employees.