Responsibilities:
1.Identify, evaluate, and monitor operational, financial, and market risks.
2.Conduct risk assessments and scenario analyses to support decision-making.
3.Develop and implement risk mitigation strategies and controls.
4.Prepare detailed reports and communicate findings to senior management.
5.Ensure compliance with internal policies, regulatory standards, and best practices.
Requirements:
1.Bachelor’s degree in Finance, Risk Management, Business, or a related discipline.
2.Familiarity with risk modeling, statistical analysis, and relevant software (e.g., SAS, R, Python).
3.Strong problem-solving and critical thinking abilities.
4.Excellent written and verbal communication skills.
5.1+ years of experience in risk analysis, internal audit, or compliance preferred.