Deskripsi Pekerjaan
Are you a strategic thinker with a passion for safeguarding financial integrity? Private Advertiser is seeking an experienced Risk Manager to join our dynamic banking team in Metro Manila.
In this pivotal role, you will be responsible for identifying, assessing, and mitigating risks that could impact our financial operations. You will act as a guardian of our assets, ensuring that our banking practices align with regulatory standards and industry best practices. This contract position offers a unique opportunity to leverage your expertise in a high-stakes environment while contributing to the stability and growth of our financial institution.
Our ideal candidate is detail-oriented, analytical, and possesses a deep understanding of the Philippine banking landscape. You will work closely with senior leadership to develop robust risk management frameworks and conduct thorough internal audits. If you are ready to take on a challenging and rewarding role that shapes the future of risk in banking, we want to hear from you.
Tanggung Jawab
- Develop and implement comprehensive risk management strategies and frameworks tailored to the banking sector.
- Conduct regular risk assessments to identify potential vulnerabilities in operations, credit, market, and liquidity.
- Monitor and analyze market trends and financial indicators to proactively manage risk exposure.
- Ensure strict compliance with local and international banking regulations, including BSP guidelines.
- Prepare detailed risk reports and presentations for senior management and regulatory bodies.
- Collaborate with cross-functional teams to implement risk mitigation measures and control environments.
- Lead internal audits and coordinate with external auditors to ensure transparency and accountability.
Kualifikasi
- Bachelor’s degree in Finance, Risk Management, Economics, or related field.
- Minimum of 3-5 years of progressive experience in a Risk Management role within the banking or financial services industry.
- Strong knowledge of risk assessment methodologies and regulatory frameworks.
- Professional certification such as FRM (Financial Risk Manager), CERA (Certified Enterprise Risk Analyst), or CAMS is highly preferred.
- Excellent analytical, problem-solving, and decision-making skills.
- Strong verbal and written communication skills with the ability to present complex data clearly.
- Proficiency in risk management software and MS Office Suite.