Risk Manager

Manager

Risk Manager

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  • Date posted
    April 21, 2026
  • Expiration date
    July 21, 2026
  • Application ends
    July 21, 2026

We are looking for a committed and motivated colleague to support the ongoing development of financial risk management and risk control framework, including reporting and 2nd line risk management analysis. In this role, you will gain broad exposure to key risk processes, collaborate closely with stakeholders across the organization, and contribute to ensuring a strong and well-governed risk setup.

Responsibilities

 

  • You will be working with our framework for governance and risk appetite, assisting local departments from headquarters. This will also be an opportunity to influence the future development of these frameworks and gain insight into how a global risk picture is established and maintained.
  • Deliver answers to inquiries from different stakeholders and assist with periodic and frequent reporting tasks.
  • Perform daily reporting of financial risk exposures to stakeholders and senior management.
  • Collaborate with cross-functional teams to ensure seamless integration of documentation and risk management processes.
  • Participate in different projects across the bank, so cross-team cooperation is also a part of the job. This can be from advising the business or conducting spot-checks on parts of the platform, related to capital, governance, valuation, and other areas where you will gain insight into how we work with regulation, why this is implemented in a financial institution and how we organize systems, data, and platforms.
  • Are you interested in this position?

     

    Apply by clicking on the “Apply Now” button below!

     

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