Financial Risk Manager

October 7, 2026
Application ends: January 6, 2027

Job Description

REQUIREMENTS

  • 10+ years of experience in financial risk management within financial services
  • In-depth knowledge of financial risk-related regulations and their application in the banking industry
  • An understanding of stress-testing methodologies
  • Familiarity with model development, implementation, and governance
  • An analytical mindset to break down complex problems and work with data
  • Autonomy in decision-making and driving change with sound judgement
  • Excellent interpersonal skills

Nice to have

  • Familiarity with SQL or a scripting language

RESPONSIBILITES

  • Setting standards, including risk appetite, for managing financial risk types
  • Defining responses to financial risk regulation changes and funding plan requirements
  • Developing and maintaining financial risk policies, stress testing, metrics, and reporting systems
  • Engaging and challenging first-line businesses to identify, monitor, and govern emerging financial risks, including in new product risk assessments
  • Modelling financial risks under various stress scenarios, with appropriate assumptions and calibrations
  • Monitoring capital and liquidity risk exposures against internal and regulatory limits
  • Investigating risk events, producing related reports, and escalating breaches to the appropriate governance forum
  • Building relationships with senior stakeholders to support risk governance and challenge emerging risks

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