This position is responsible fordeveloping and executing risk management strategies to protect thecompany s assets and profits from unnecessaryrisks.
KeyResponsibilities:
* Developand implement the company s risk management policies andprocedures.
* Monitorand evaluate the company s risk exposures and develop mitigationstrategies.
* Designand implement risk assessment models and tools to identify andquantify potentialrisks.
* Assistin the development of the company s risk management strategy toensure regulatorycompliance.
* Workwith internal departments to develop and supervise the execution ofrisk controlmeasures.
* Regularlyreport risk management status and recommendations to seniormanagement.
* Participatein risk training and education programs to enhance employees riskawareness.
Requirements
* Masters degree in Finance Economics Mathematics or a relatedfield.
* Atleast 2 years of experience in financial riskmanagement.
* Strongunderstanding of financial markets and products with the ability toidentify and assessrisks.
* Excellentcommunication and teamwork skills with the ability to collaboratewith variousdepartments.
* Proficientin using risk management tools andsoftware.
* Indepthknowledge of regulatory requirements and risk management bestpractices.
* Relevantrisk management certifications (e.g. FRM PRM) arepreferred.