Responsibilties: Conduct credit risk, market risk, operational risk and regulatory risk. Implement strategies to prevent fraud. Make recommendations to subdue risk factors. Work with internal teams to calculate the risk associated with specific transactions. Liaising with stakeholders and board members. Developing models and contingency plans to deal with potential threats. Presenting the results and findings of the analysis and making appropriate recommendations for improvement. Qualifications Bachelor's Degree in Finance, Economics or related field is required. Certificate in Financial Risk Manager(FRM) or Chartered Financial Analyst(CFA) 6 years experience in similar role Must have strong analytical and problem solving skills, as well as proficiency in data analysis software is crucial. Desired Skills: Operational Risk Management Analytical And Problem Solving Problem Solving And Decision Making people management and leadership skills Financial knowledge Regulatory knowledge Strategic Thinking Mathematics skills Operational Risk Desired Work Experience: 5 to 10 years Desired Accreditations: Chartered Financial Analyst
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