Financial Risk Manager

Overview
Our Life and Pensions client requires a Financial Risk Manager to support an exciting project on an initial 3-month contract.Responsibilities
In conjunction with aligned Head of Operational Risk, drive the implementation of an effective Risk Management Framework for the Group to identify, measure, monitor, manage and report on the risks to which the Group and its customers are exposed.Provide advice, guidance and challenge to the business on Risk Management Framework (Risks and Control Environment, Risk Policies, Risk Reporting and wider elements including Risk Appetite and KRIs).Deliver oversight and opinion on the integrated risk and control framework (RMF and ICF) covering all risks and controls for financial risk areas such as Finance. Deep specialism in operational risks in these areas, such as those for Financial Reporting.Business Partnering support on all Operational Risk in financial risk areas, including financial reporting and control.Influence key stakeholders across the Group and externally to drive positive risk outcomes and gain buy-in on risk management initiatives.Promote effective challenge and ensure that independent risk opinions are provided to the business stakeholders or appropriate decision-making body on the implications of all proposals that could materially change the risk exposure of the Group.Promote a strong risk culture in which the Risk Management Framework is valued and embedded, the identification and management of risks to customers is central to decision making and key judgments and assumptions are transparent.Develop the Risk Managers in the Operational Risk oversight team.Proven track record for building strong relationships and influence with senior stakeholders across business areas and working across boundaries, including at C-suite level and their direct reports.Proven ability to operate independently across complex, concurrent risk activities.Strong communicator who understands others’ perspectives and adapts language, tone, style and content of communications to suit a broad range of audiences, including the Board and Regulators.Qualifications
Experience in financial risk management, including financial reporting and control.Ability to navigate ambiguous situations and work across a multifaceted business environment.Proven stakeholder management and ability to influence decision making at senior levels.Contract details
Contract length: 3 months
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