Senior Manager – Financial Risk
Guardian Group
Job description
About the role
We are looking for a strategic and analytical Senior Manager – Financial Risk to lead the development and implementation of financial risk management frameworks across the Group. The role supports the Group Chief Risk Officer in shaping risk culture, ensuring regulatory compliance, and providing insights for sound business decisions.
Key responsibilities
- Implement, embed and continuously improve the Financial Risk Management framework and risk culture throughout the Group.
- Develop and maintain the Group’s financial risk policy, aligning it with risk appetite and regulatory requirements.
- Provide oversight to ensure financial risks are identified, documented, and reflected in business‑unit risk registers.
- Support the CRO in the annual review and approval of the Group’s financial risk appetite statement, covering credit, interest‑rate, liquidity, equity and investment return risks.
- Guide business units in preparing and submitting accurate financial risk reports to management and board risk committees.
- Collaborate with the Vice President – Enterprise Risk & Subsidiaries to align subsidiary policies with Group standards.
Required profile
- Bachelor’s degree in Economics, Banking, Finance or Risk Management.
- Minimum 10 years of professional experience, including at least 5 years in risk, operations or management roles.
- Experience in developing and governing credit, market, liquidity and investment return risk frameworks.
- Ability to work independently, identify and mitigate financial risks, and communicate findings to senior stakeholders.
- Certificate of Character as required by Know Your Employee regulations.
Required skills
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Published 1 month ago
Expires 3 weeks from now
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Guardian Group
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