Risk Management Professional
Develop and implement a comprehensive risk management strategy to identify, assess, and mitigate potential risks across the organization.
Maintain a robust governance structure for margin-account operations, including policy frameworks, lending value ratios, collateral valuation methodologies, and counterparty exposure management.
Monitor key performance indicators (KPIs) and collaborate with cross-functional teams to ensure adherence to regulatory standards and optimize business outcomes.
* Lead the development and maintenance of risk management frameworks, stress testing scenarios, and margin-account governance protocols involving virtual assets.
* Stay up-to-date with Central Bank regulations, prudential rules, capital adequacy requirements, and Virtual Asset Service Provider (VASP) reporting obligations to ensure compliance and minimize risk.
Key Responsibilities:
Job Description: Develop and implement a comprehensive risk management strategy to identify, assess, and mitigate potential risks across the organization.
Required Skills and Qualifications: Strong understanding of risk management principles, methodologies, and best practices. Proficient in data analysis, critical thinking, and problem-solving. Excellent communication and collaboration skills.
Benefits: Opportunity to work with a dynamic team, professional growth and development, and a competitive compensation package.
Others: We are an equal opportunities employer and welcome applications from diverse candidates.