This position is responsible for developing and executing risk management strategies to protect the company s assets and profits from unnecessary risks.
Key Responsibilities:
Develop and implement the company s risk management policies and procedures.
Monitor and evaluate the company s risk exposures and develop mitigation strategies.
Design and implement risk assessment models and tools to identify and quantify potential risks.
Assist in the development of the company s risk management strategy to ensure regulatory compliance.
Work with internal departments to develop and supervise the execution of risk control measures.
Regularly report risk management status and recommendations to senior management.
Participate in risk training and education programs to enhance employees risk awareness.
Requirements
Master s degree in Finance Economics Mathematics or a related field.
At least 2 years of experience in financial risk management.
Strong understanding of financial markets and products with the ability to identify and assess risks.
Excellent communication and teamwork skills with the ability to collaborate with various departments.
Proficient in using risk management tools and software.
Indepth knowledge of regulatory requirements and risk management best practices.
Relevant risk management certifications (e.g. FRM PRM) are preferred.
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