FRM Risk Management Specialist

CFA Institute

Taguig

On-site

PHP 600,000 - 900,000

Full time

14 days+

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Job summary

CFA Institute in Manila is seeking a Risk Specialist to support the Head – Risk Management in implementing risk programs, policies and processes for managing financial risk in line with BSP guidelines. The role includes identifying, measuring, monitoring and reporting risk, and rolling out risk initiatives across FRM and MEUC.

The incumbent will collaborate with cross-functional teams to strengthen the risk environment and ensure compliance with local regulations.

Qualifications

  • Bachelor's degree in Finance, Accounting, Business Management, Economics, or equivalent.
  • At least 3 years of relevant work experience in Financial Risk Management.
  • Strong grasp of trust/banking business, technical issues or trust/banking trends.
  • FRM or CFA is a plus.
  • Experience on derivatives risk management is a plus.

Responsibilities

  • Prepare, analyze and ensure completeness of daily risk management reports, including limits utilization.
  • Prepare, analyze and ensure completeness and accuracy of monthly, quarterly and annual risk metrics and board reports.

Skills

Analytical skills
Trust/banking regulations knowledge
Communication skills
Cross-functional collaboration
Stakeholder influence

Education

Bachelor degree in Finance, Accounting, Business Management, Economics, or equivalent
At least 3 years of Financial Risk Management experience
FRM/CFA is a plus

Job description

Job Description

The Risk Specialist shall assist the Head – Risk Management in implementing effective risk programs, policies and processes for the management of financial risks resulting from business activities and in accordance with the Risk Management Guidelines of the BSP and with Sun Life Group policies. The FRM Risk Specialist shall assist in identifying, measuring, monitoring, and reporting risk as part of the second line of defense and shall support the business in building a strong and healthy risk environment by ensuring that appropriate policies and control procedures are in place. The Risk Specialist shall also assist in rolling out risk and control initiatives across all various financial risk areas such as but not limited to Financial Risk Management (FRM) and Model and End User Computing (MEUC).

Preferred Skills
  • Analytical skills
  • Has adequate knowledge and exposure in trust/banking regulations and practices, risk management, information security, internal control or compliance
  • Good communication skills with the ability to collaborate with other teams
  • Comfortable in dealing with cross-functional units
  • Work collaboratively with others and influence peers and management
Qualifications
  • Bachelor degree in Finance, Accounting, Business Management, Economics, or equivalent
  • At least 3 years of relevant work experience on Financial Risk Management
  • Strong grasp of trust/banking business, technical issues or trust/banking trends
  • Experience on derivatives risk management, is a plus
  • FRM, or CFA is a plus
Responsibilities
Management Reporting
  • Prepare, analyze and ensure completeness of the various financial daily risk management reports, including limits utilization.
  • Prepare, analyze and ensure completeness and accuracy of the monthly, quarterly and annual / semi-annual risk metrics & indicators, risk management (including Risk and Compliance Management Committee and Board reports) and other reports.
Governance, Oversight and Risk Management
  • Review, analyze and provide recommendations on the various financial risk limits to be prescribed by risk management policies and operating guidelines ensuring compliance with local regulatory (i.e. BSP) requirements.
  • Work collaboratively with others to ensure the annual review, roll-out, renewal, implementation of and compliance on the various operating guidelines.
  • Assist in identifying (i.e. limit breaches) and monitoring action plans to address policy/operating guidelines non-compliance.
  • Assist in the roll-out of corporate driven financial risk management initiatives for implementation in the BU.
  • The position also handles financial risk management related queries and /or elevates the same to the Head – Risk Management as necessary.
  • Promote risk awareness via initiatives that include risk and control trainings to strengthen the Risk Culture of the business unit.
  • Assist in the development Ensures that risk based measurement and reporting metrics, including risk limits and exception reporting.
Other Responsibilities
  • Act as an Administrator for the SLIMTC Archer particularly - MEU risk management database (MEUC)
  • Other functions that may be assigned by the Head – Risk Management
Job Category

Risk Management

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