Key Responsibilities
* Develop a comprehensive framework for managing financial risk, encompassing credit, market, liquidity, operational and technology aspects.
* Conduct thorough assessments of prudential and capital risks through stress testing, scenario analysis and capital adequacy evaluations.
* Support the preparation and submission of regulatory disclosures for financial institutions.
Margin-Account Risk Oversight
* Lead margin-account operations, including risk policies, LTV ratios and haircut methodologies.
* Monitor collateral valuation, counterparty exposures and client exposure limits.
* Continuously monitor key risk indicators and escalate breaches to senior management.
Requirements
* At least 7 years of senior-level experience in financial or prudential risk management.
* A strong command of Central Bank regulations related to risk management.
* Expertise in market and liquidity risk frameworks is essential.
What You'll Gain
* The opportunity to work on complex financial risk management projects.
* Experience in leading teams and developing risk policies.
* Professional growth and development opportunities.
Essential Qualifications
* Strong analytical and problem-solving skills.
* Excellent communication and interpersonal skills.
* Ability to work under pressure and meet deadlines.