
The Financial Risk Manager position involves working closely with the Investment Director of our client's holding company. Responsibilities include overseeing financial, investments, and corporate governance aspects, leading a team of five, and contributing to the management team. This role also involves identifying and implementing Key Risk Indicators, defining risk tools, participating in Asset Allocation processes, and ensuring adherence to steering documents and policies.
To be successful in this role, candidates should have 10+ years of experience in banking, corporate, or fund environments, detailed knowledge of Risk Management concepts, and experience working within regulatory frameworks. Strong leadership, stakeholder management skills, and the ability to articulate a clear point of view on risk-related topics are also essential. The position offers exciting work in an international environment, excellent working conditions, and opportunities for professional development and growth.