£110K/yr to £160K/yr
London, England
Permanent, Variable

Risk Manager

Posted by JH Partners (EMEA) Company Limited.

Our client, a prominent financial organization, is seeking an experienced Risk Management Manager to join their team. This role is responsible for developing and implementing strategies to protect the company's assets and profits from potential risks.

**Duties and Responsibilities:

  • Policy Development: Formulate and enforce risk management policies and procedures to safeguard the company's interests.
  • Risk Monitoring: Continuously monitor and assess the company's risk exposure, devising strategies to mitigate potential risks.
  • Risk Assessment: Design and implement risk assessment models and tools to identify and quantify risks.
  • Strategy Development: Contribute to the development of the company's risk management strategy, ensuring compliance with regulatory standards.
  • Collaboration: Work closely with internal departments to establish and oversee risk control measures.
  • Reporting: Provide regular updates to senior management on risk management activities and recommendations.
  • Training: Participate in and assist with risk training programs to enhance employee awareness.

**Qualifications:

  • Education: Master's degree in Finance, Economics, Mathematics, or a related field.
  • Experience: At least 2 years of experience in financial risk management.
  • Knowledge: Strong understanding of financial markets and products, with robust risk identification and assessment skills.
  • Skills: Excellent communication and teamwork abilities, with a talent for cross-departmental collaboration.
  • Tools: Proficiency in risk management tools and software.
  • Understanding: Deep knowledge of regulatory requirements and best practices in risk management.
  • Certifications: Preference for candidates with risk management certifications (e.g., FRM, PRM).
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