The Manager of Risk is a second line risk management function that evaluates risks, controls, and processes used by either a particular line of business or a risk area such as capital markets, credit, or operational risk. The incumbent will develop an understanding of the end to end Risk Management process for their area of focus and build a foundation to review and challenge and improve the existing risk management framework. This position is focused on risk and control identification and testing.
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Job Type
Full-time
Career Level
Manager
Industry
Monetary Authorities-Central Bank
Education Level
Bachelor's degree