The Client is a diverse and global team with offices around the world. They value the unique skills and experiences each individual brings to the client. They are committed to creating and sustaining a collegial work environment in which all individuals are treated with dignity and respect and one which reflects the diversity of the community in which we operate. They provide an inclusive and accessible environment for everyone.
Position: Manager - Risk Management
Required skills:
- 7-10 years of relevant work experience preferred in:
- Risk Management and Financial/Economic Modeling
- Financial risk (credit, market, liquidity, treasury, capital management)
- Strategic Risk (enterprise, operational) / Regulatory Compliance Risk
- Data analytics and technology
- Graduating with an Undergraduate or Graduate/PG Degree in Finance, Business, Engineering, Mathematics, Computer Science, Economics or related field. Degree in financial mathematics is strongly preferred. Programming / modeling skills strongly desired.
- 5+ years demonstrated experience with financial modelling
- FRM highly preferred
- Strong academic results in finance, economics, mathematics, computer science, law, management and/or risk management courses;
- Effective communication skills, both verbal and written, that allow you engage with staff across the company and synthesize and present findings in a productive and professional manner.
- Self-starter with the initiative and ability to work independently and as part of large solution teams;
- Proven ability to work in unstructured environments including the ability to develop and present new ideas as well as conceptualize new approaches and solutions;
- Ability and willingness to travel. Desirable that the applicant possesses a valid passport.
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