Financial Risk Manager
The Financial Risk Manager plays a key role in identifying, analysing, and mitigating financial risks for the organisation. This position exists within a company that values risk management to support its financial stability and growth. The role involves engaging with cross-functional teams to ensure compliance and effective risk controls.
Role Overview
The Financial Risk Manager is responsible for assessing valuation-related risks, maintaining risk models, and ensuring robust risk oversight. The role reports to senior management and supports decision-making processes related to financial risk. Success in this role involves delivering comprehensive risk assessments and maintaining up-to-date valuation techniques.
Key Skills & Experience
- Valuation
Nice to Have
(Information not provided in the source data)
Key Responsibilities
- Manage valuation processes to ensure accurate risk measurement
- Develop and implement valuation models and methodologies
- Analyse financial data to identify potential risks and recommend mitigation strategies
- Collaborate with relevant teams to ensure compliance with risk policies
Requirements
- Right to work in Asia
- Permanent employment basis
- On-site work environment
- Fixed duration of 2 weeks
- Start date: 24/07/2026
If you have the relevant skills and experience, please apply with an updated CV.
