As VP Opertqaional Risk Manager you will work within the Enterprise Risk Management (ERM) function. In this role, you will Establish an appropriate ERM framework including risk policies, metrics, reporting, and monitoring.
Primary Responsabilities:
- Setting up the framework and processes necessary to identify, evaluate, mitigate, and monitor the company's operational, business and strategic risk.
- Developing Enterprise Risk Management tools, practices, and policies to analyze and report enterprise risks, and to manage risks according to an enterprise risk management framework.
- Ensuring the organization's risk management policies and strategies are in compliance with applicable risk management regulations, rating agency standards, and strategic imperatives of the organization.
- Establishing the Enterprise Risk Management architecture for the company. Overseeing and monitoring all operational risk management activities of the organization.
- Monitoring and analyzing risks within the company's business units and reports on these risks to the CRO and the fund's management team.
- Secretariat and or providing key inputs into the company's enterprise risk committee that oversees the enterprise risk management process and ensures alignment with organizational objectives.
- Monitoring the change risk and assessing the Business Continuity Planning activities for the organization.
The ideal candidate has between 7 and 10 years of experience in enterprise risk management and/or operational risk management role in microfinance or a financial institution.
The ideal candidate possesses some or all the following professional or personal competencies:
- Strong presence and can interact with senior management.
- Can effectively analyze a significant amount of data information and filter it to key points helping management to analyze risks.
- Capability to summarize and interpret risk reports from different Departments.
- Proven experience in operational risk management, risk identification and assessment.
- Ability to write/revise risk policies and guidelines and review/maintain Risk Register.
- Skilled in analysis and review of reports and making presentations to Senior Management.
- Possesses refined communication skills and advanced speaking capabilities.
- Experience in the trading environment and (FX), fixed income, and interest rates derivative products is a plus.
- Result-oriented, international outlook and mindset, pro-active and accountable personality who sets and meets objectives and is able to work under pressure.