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Financial Risk Management Specialist

2 months ago


Las Vegas, Nevada, United States augmentjobs Full time
Job Overview

Position Summary:

We are looking for a talented and experienced Financial Risk Management Specialist to become a key member of our innovative team at AugmentJobs. The successful candidate will possess a thorough understanding of risk management practices within the financial sector and will be tasked with identifying, evaluating, and mitigating financial risks to uphold the stability and profitability of our organization.

Primary Responsibilities:

  • Risk Evaluation: Create and implement detailed risk evaluation frameworks to pinpoint potential risks in financial operations, encompassing credit, market, operational, and liquidity risks.
  • Risk Management Frameworks: Formulate and execute risk management frameworks and policies to alleviate identified risks, ensuring compliance with regulatory standards and organizational goals.
  • Monitoring and Analysis: Regularly assess risk exposure and performance indicators. Generate comprehensive risk reports and communicate findings and recommendations to senior leadership and stakeholders.
  • Regulatory Compliance: Guarantee adherence to applicable financial regulations, standards, and internal protocols. Remain informed about changes in regulatory requirements and industry best practices.
  • Risk Reduction: Propose and advocate for risk reduction strategies and solutions. Collaborate with various departments to embed risk management practices into everyday operations.
  • Incident Response: Oversee investigations into risk-related incidents, evaluate root causes, and implement corrective measures to avert future occurrences.
  • Education and Culture: Deliver risk management training and support to personnel and management. Foster a risk-aware culture throughout the organization.

Qualifications:

  • Education: Bachelor’s degree in Finance, Risk Management, Accounting, or a related discipline. An advanced degree (MBA, Master’s) or relevant certifications (e.g., CFA, FRM) is preferred.
  • Experience: A minimum of 5-7 years of experience in risk management within the financial services sector, demonstrating a successful history of managing complex risk scenarios.
  • Skills: Exceptional analytical and problem-solving abilities, with expertise in risk management software and tools. Strong communication and interpersonal skills, capable of presenting intricate information clearly and effectively.
  • Knowledge: Comprehensive understanding of financial products, market dynamics, regulatory frameworks, and risk management methodologies.
  • Certifications: Professional certifications such as Certified Financial Risk Manager (FRM) or Chartered Financial Analyst (CFA) are advantageous.