Job Openings
Financial Risk Management Manager
About the job Financial Risk Management Manager
Responsibilities and Qualifications:
- Bachelor of Accountancy/Mathematics/Applied Mathematics/Statistics. Preferably with MBA or Masters Degree in Finance.
- Minimum of 4 to 5 years of extensive background assessing and managing financial risk and working with banks, insurance companies, accounting firms, asset management firms, etc.
- Knows how to identify threats to assets, analysing business risk, and offering a solution to business risks. Has the ability to detect and scrutinize all possible risks that may end up impacting the organizations financial success.
- Can develop strategies to counteract the effects of the fluctuating market on business and their finances. He/she can utilize reports derived from assessing a companys risk profile
- Knows how to make use of various valuation techniques and tools, statistical models, and quantitative analysis
- Possess excellent understanding of banking and financial regulations
- Can lead engagements with less supervision from the partner
- Meticulous attention to detail and high level of accuracy. Highly detailed and organized individual with analytical prowess
- Assist in the business development creating proposals and client presentations
- Logical thinker, problem solver, strong analytical skills and independent.
- Has the ability to handle multiple engagements.
- Can handle a team ‐ coach, motivate and develop his/her team members and the mentee that will be assigned to him/her.
- Excellent verbal and written communication skills