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1 Year
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Long-term
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Duration
1 Year
Long-term

Requirements

  • Bachelor's degree in Finance, Risk Management, or related field.
  • Proven experience as a Risk Manager in the banking industry.
  • Strong knowledge of credit risk, market risk, and financial regulations.
  • Ability to perform stress testing and data analysis.
  • Proficiency in compliance and risk assessment.
  • Excellent problem-solving and risk-mitigation skills.

Job Description

As a Risk Manager at our Banking Institution, you will be responsible for assessing and managing various risks, including credit risk and market risk. Your role involves ensuring compliance with financial regulations and conducting stress tests to protect the institution's financial stability.