Risk Manager - Crypto
other jobs JH Partners (EMEA) Company Limited Job
Added before 2 Days
- England,East of England,Cambridgeshire
- full-time
- Salary negotiable
Job Description:
Our client, a leading financial institution, is seeking an experienced and professional Risk Management Manager to join their team. This role is crucial in developing and implementing risk management strategies to safeguard the company’s assets and profitability.
Key Responsibilities:
• Develop and implement comprehensive risk management policies and procedures
• Monitor and assess the company’s risk exposure, formulating effective countermeasures
• Design and execute risk assessment models and tools to identify and quantify potential risks
• Contribute to the development of the company’s risk management strategy, ensuring regulatory compliance
• Collaborate across departments to establish and oversee risk control measures
• Provide regular reports to senior management on risk management status and recommendations
• Lead risk training and education programs to enhance company-wide risk awarenessIdeal
Candidate Profile:
• Master’s degree in Finance, Economics, Mathematics, or a related field
• Minimum of 2 years’ experience in financial risk management
• Strong understanding of financial markets and products, with proven risk identification and assessment skills
• Excellent communication and teamwork abilities, capable of cross-departmental collaboration
• Proficiency in risk management tools and software
• In-depth knowledge of regulatory requirements and risk management best practices
• Risk management certifications (e.g., FRM, PRM) are highly desirable
Key Responsibilities:
• Develop and implement comprehensive risk management policies and procedures
• Monitor and assess the company’s risk exposure, formulating effective countermeasures
• Design and execute risk assessment models and tools to identify and quantify potential risks
• Contribute to the development of the company’s risk management strategy, ensuring regulatory compliance
• Collaborate across departments to establish and oversee risk control measures
• Provide regular reports to senior management on risk management status and recommendations
• Lead risk training and education programs to enhance company-wide risk awarenessIdeal
Candidate Profile:
• Master’s degree in Finance, Economics, Mathematics, or a related field
• Minimum of 2 years’ experience in financial risk management
• Strong understanding of financial markets and products, with proven risk identification and assessment skills
• Excellent communication and teamwork abilities, capable of cross-departmental collaboration
• Proficiency in risk management tools and software
• In-depth knowledge of regulatory requirements and risk management best practices
• Risk management certifications (e.g., FRM, PRM) are highly desirable
Job number 1652380