Compliance Risk Officer

Details of the offer

Brief Description:

The Compliance Risk Officer is primarily responsible in assisting the Chief Compliance Officer in
overseeing the risk management framework of the Bank, ensuring compliance with regulatory
requirements, and implementing strategies to mitigate risks across various functions.

Duties & Responsibilities:
1. Risk Assessment and Monitoring:
• Conduct risk assessments to identify potential risks to the Bank's assets, earning
capacity, or reputation.
• Monitor key risk indicators and report on trends that could impact the Bank's
financial stability.
2. Policy Development:
• Develop and update risk management policies and procedures in line with
regulatory requirements and industry best practices.
• Ensure that policies are effectively communicated and adhered to throughout the
organization.
3. Risk Mitigation Strategies:
• Develop risk mitigation strategies and contingency plans to minimize exposure to
identified risks.
• Work with business units to implement controls and measures to reduce risk to an
acceptable level.
4. Risk Reporting and Analysis:
• Prepare and present risk reports to senior management and the board of directors.
• Conduct risk analysis to support strategic decision-making and ensure alignment
with the bank's risk appetite.
5. Training and Education:
• Provide training to employees on risk awareness, policies, and procedures.
• Foster a risk-aware culture within the organization through educational initiatives
and communication.
6. Internal Controls and Audit:
• Collaborate with internal audit teams to assess the effectiveness of internal controls
related to risk management.
• Recommend improvements to controls based on audit findings and industry
developments.
7. Crisis Management:
• Develop crisis management protocols and participate in crisis response teams to
address emergency risks effectively.
• Ensure business continuity plans are robust and tested regularly.

Qualifications:
1. Bachelor's degree in Management, Finance, Economics, Mathematics, Data Science or a
related field are required. Advanced degrees (e.g., MBA, Master's in Finance) may be
preferred.
2. Two (2) to three (3) years proven experience in risk management within banking or
financial services industry, with a solid understanding of banking operations and regulatory
requirements are required.
3. Strong analytical skills and the ability to interpret complex data sets.
4. Excellent communication and interpersonal skills, with the ability to collaborate effectively
across departments and levels of the organization.
5. Attention to detail and a proactive approach to identifying and solving problems.


Nominal Salary: To be agreed

Source: Whatjobs_Ppc

Job Function:

Requirements

Contract Lawyer

IBCGroup.io is a leading blockchain and crypto advisory firm, dedicated to providing innovative solutions and insights in the rapidly evolving crypto space. ...


International Blockchain Consulting - National Capital Region

Published 18 days ago

Cpa - Lawyer

Qualifications: Candidate must possess at least Professional License (Passed Board/Bar/Professional License Exam) in Law or equivalent. At least 10 Year(s) o...


Dempsey Resource Management Inc. - National Capital Region

Published 17 days ago

Legal Secretary

1. With at least 1-2 years of experience as a Legal Secretary 2. Must be a graduate of at least Bachelor's Degree in secretarial or any related course . 3. ...


Prestigious Law Firm - National Capital Region

Published 17 days ago

Tax And Legal Assistant

Tax and Legal Assistant Responsibilities 1. Responsible for Drafting and Filing of Tax Report 2. Responsible for Coordinating, Liaising with various Governme...


Legacy Enterprises Corporation - National Capital Region

Published 17 days ago

Built at: 2024-11-23T09:37:33.070Z