Enterprise Risk Management Professional
A dynamic opportunity has arisen for an experienced Enterprise Risk Management Professional to join our organization. In this pivotal role, you will be responsible for developing and implementing a comprehensive risk management framework that encompasses credit, market, liquidity, operational, and technology risks.
Key Responsibilities:
* Develop and maintain a robust risk management framework, incorporating the latest regulatory requirements and industry best practices.
* Conduct thorough risk assessments, including stress testing, scenario analysis, and capital adequacy evaluations to ensure the organization's resilience.
* Promote a culture of risk awareness across the organization, fostering collaboration and open communication between teams.
* Maintain relationships with internal stakeholders, regulatory bodies, and external partners to stay informed about emerging risks and trends.
* Engage in continuous learning, staying up-to-date with evolving regulations, technologies, and methodologies to enhance risk management capabilities.
Requirements:
* Minimum 7 years of experience in financial or prudential risk management, preferably within banks, fintechs, or crypto/virtual asset firms.
* Demonstrated independence from commercial functions and proven capability operating as a second-line or independent control function.
* Strong command of Central Bank of Brazil risk regulations, prudential rules, capital adequacy requirements, and VASP reporting obligations.
* Expertise in market and liquidity risk frameworks, stress testing, scenario modeling, and margin-account governance involving virtual assets.
* Bachelor's degree in Finance, Economics, Risk Management, or a related field; postgraduate qualifications are strongly preferred.
* Exceptional analytical skills, strong quantitative capabilities, excellent communication, and full professional fluency in Portuguese and English.