Deskripsi Pekerjaan
Standard Chartered is seeking a strategic and resultsâdriven Senior Manager â Risk Governance to lead our risk governance agenda in the Philippines. Based in the vibrant financial hub of Makati City, you will play a pivotal role in designing, implementing, and overseeing robust governance frameworks that protect the bankâs reputation, ensure regulatory compliance, and support sustainable growth.
In this highâimpact role, you will collaborate closely with senior leadership, risk committees, and crossâfunctional teams to embed a culture of proactive risk management across all business lines. Your expertise will be instrumental in translating complex regulatory requirements into clear policies, processes, and controls that drive operational excellence and stakeholder confidence.
Why join us? Standard Chartered offers a dynamic, inclusive environment where you can shape the future of risk governance, work with diverse talent, and access bestâinâclass development programs. We are committed to fostering innovation, diversity, and workâlife balance, making this an ideal opportunity for ambitious professionals who thrive in fastâpaced, global settings.
Tanggung Jawab
- Design, maintain, and continuously improve the enterpriseâwide risk governance framework in alignment with global standards and local regulatory requirements.
- Chair and support risk committees, preparing highâquality agenda papers, minutes, and action trackers for senior leadership.
- Provide strategic guidance on riskârelated decisions, translating complex risk data into actionable insights for business partners.
- Lead the development and implementation of risk policies, procedures, and controls, ensuring consistent application across all business units.
- Monitor emerging risks and regulatory changes, assessing impact and leading timely adaptation of governance structures.
- Drive risk awareness and training initiatives, fostering a culture of riskâconscious decisionâmaking throughout the organization.
- Collaborate with internal audit, compliance, and legal teams to ensure comprehensive risk coverage and timely remediation of control gaps.
- Report on risk governance performance to senior management and the Board, presenting key metrics, trends, and recommendations.
Kualifikasi
- Bachelorâs or Masterâs degree in Finance, Business Administration, Risk Management, or a related field.
- Minimum of 8 years of experience in risk management, governance, or compliance within a banking or financial services environment.
- Deep knowledge of Philippine banking regulations (BSP, SEC) and international standards (Basel, ISO, COSO).
- Proven track record in leading risk committees, developing governance frameworks, and advising senior executives.
- Strong analytical, criticalâthinking, and problemâsolving skills, with the ability to interpret large datasets and present concise recommendations.
- Excellent communication and stakeholderâmanagement abilities, capable of influencing across all organizational levels.
- Professional certifications such as CRMA, FRM, or CPA are highly desirable.
- Proficiency in risk management tools and advanced MS Office skills; experience with GRC platforms is a plus.