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Job Description:
- Develop and execute the overall risk management strategy, aligning it with the company's business objectives.
- Monitor and analyze market risks, credit risks, and other relevant risks to provide support for decision-making and risk control, Assist in the preparation of risk control reports and other relevant documents.
- Conducting research on risk control strategies, including market risks, credit risks, operational risks, and other relevant risks.
- Financial Ratio Monitoring
- Coordinate with other departments to establish and improve the risk control system to ensure the company's compliance with regulatory requirements.
- Lead comprehensive risk assessments to identify potential threats, vulnerabilities, and opportunities across various business functions.
- Design and implement risk appetite, risk tolerance, and other risk management tools needed.
Job Requirements:
- Bachelor's degree majoring in business administration, economics, finance or other relevant
- More than 5 years of experience in Risk Management preferably in finance / multi-finance company
- Strong knowledge of risk management principles, financial analysis, frameworks, methodologies, and best practices.
- Proven experience in business risk management, operational risk management, financial risk management including fraud, and cyber security risk management is an advantage.
- Excellent analytical, problem-solving, communication, and decision-making skills.
- Proficiency in using Ms. Office and other data analysis tools.
- Having Risk Management Licenses & Certifications will be a plus
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