Overview
We seek a proactive and analytical individual to join our team as a Risk Manager. This is a unique opportunity to help shape our approach to risk management drive operational resilience and ensure organisational compliance in an international business environment. As Risk Manager your strategic insights will directly support decision-making and long-term business sustainability. You will collaborate cross-functionally foster a risk-aware culture and champion best practices. If you have a keen eye for detail strong problem-solving skills and a passion for continuous improvement wed love to hear from you.
Key Responsibilities
- Design implement and manage the companys risk management framework including relevant policies and procedures.
- Identify assess monitor and communicate a variety of risks such as operational market credit liquidity and compliance risks.
- Carry out routine risk evaluations audits and stress tests to assess the organizations risk exposure.
- Compile and present comprehensive risk reports to regulators and internal stakeholders.
- Ensure adherence to regulatory requirements and internal governance standards.
- Partner with senior leadership to evaluate the companys risk landscape and suggest enhancements.
- Work with different departments to foster a culture of risk awareness and embed risk considerations in decision-making.
- Evaluate potential risks associated with launching new products or services.
- Collaborate with compliance audit and anti-financial crime teams to maintain a unified risk management approach.
- Stay updated on industry developments and regulatory changes adjusting risk strategies as needed.
- Provide regular updates to the board of directors or designated risk oversight committees.
Essential Skills and Qualifications
- Native or fluent English (C1) with excellent written and verbal communication skills.
- Bachelors degree in Finance Economics Risk Management or a related field.
- Relevant professional qualification in financial regulation or risk management (such as a regulatory license or risk certification).
- At least two years of experience in a risk-related position within a regulated financial institution.
- Mandatory experience working with stocks/shares.
- Solid knowledge of regulatory frameworks risk assessment techniques and industry best practices.
- Skilled in risk reporting tools and data analysis.
- Strong analytical organizational and communication abilities.
- Capable of explaining complex risk concepts to both technical and non-technical audiences.
Benefits
- Competitive salary and performance-based bonus
- Career development and training opportunities
- Supportive and collaborative work environment
- Opportunity to shape and lead the firms risk function.
Why Join Us as a Risk Manager
You will excel here if you bring strategic thinking rigor and fresh ideas to the table. This is your opportunity to shape risk management culture and shape the resilience of our organisation. We value integrity accountability and a proactive mindsetqualities our Risk Managers embody in everything they do.
How to Apply for the Risk Manager Role
If youre a detail-oriented professional ready to advance your risk management career please submit your CV and a concise cover letter outlining your most significant risk management achievements and your approach to embedding risk awareness within teams. Include examples of major risks you have successfully mitigated frameworks you have implemented and any relevant certifications.
Our Commitment to Diversity and Inclusion in Risk Management Careers
We strive to create a diverse and empowering workplace where every individual is respected and supported to thrive. Applications are welcome from people of all backgrounds ensuring equal opportunities at every stage of recruitment and throughout your career with us.