Recruitment - Indonesia

Recruitment - Indonesia
Recruitment for Supervisor, Managers, & Specialist

Monday, 16 August 2010

Risk Management - Manager / Financial Service (RMM-ACT-JAC)

Risk Management – Manager (Financial Services)

Manager Key responsibilities include:
Engagement Management:
• Manage project work or selected work streams in Risk Management service line
• Supervise a project team in all components of Company's ERM and/or risk management methodologies including risk diagnostics, identification, quantification, policies and procedures, monitoring, corporate governance and reporting, and risk technology systems
• Assist clients throughout the full life-cycle of project implementation, integration business process redesign, communication and training, etc
• Work with client's business units, including Enterprise Risk Management, IT, Internal, Legal, Strategic Planning, Risk Analytics and Finance to gain thorough understanding of the corporate risk processes and procedures development.
• Identify, define and document complex business specifications for risk platforms and procedures

Business Development:
• Maintain contact with client management, assume leadership role in pursuit teams, and participate in all aspects of the proposal development process.
Domain Development:
• Assist in the development of new intellectual capital for Company's Risk Management service line, conduct leading edge research on white papers, support development of marketing collateral, and assist in publishing articles in industry periodicals.

People Development:

• Perform role of counselor and coach, provide input and guidance into Company's staffing process, actively participate in staff recruitment and retention activities and actively participate in building a practice and training in company's Risk Management service line

Basic Qualifications:
• 5+ years of relevant work experience in Risk Management consulting covering areas such as Credit Risk, Market Risk, Operational Risk or Liquidity Risk. Includes knowledge of the risk tools and processes within a specific risk area including risk diagnostics, policies and procedures, industry best practices; risk assessment, key driver analysis, risk quantification and modeling
• 5+ years working in the Financial Services Industry such as in Banking, Capital Market, and/or Insurance
• 5+ years of program or project management experience
• Strong understanding of Risk related Regulatory Requirements, such as Basel II/III, Solvency II, IFRS/IAS, AML/Fraud
• Understanding of Lending Value Chain and Operations (both Front & Back Office) within Retail and Commercial Banking
• Strong understanding of FS Risk Operating model at FS clients
• Excellent communication and facilitation skills
• Effective team management and leadership skills
• High competence in developing presentations required (MS Office (Word, PowerPoint, Excel))
• Bachelor's Degree
• Able to thrive in a fast-paced, high energy, demanding and team-oriented environment
• Ability to travel up to 100%

Preferred Qualifications:
• Experience at a top Risk & Regulatory Management Auditing firm is a plus
• Experience in Enterprise Risk Management (ERM) and ERM solution is a plus
• Experience in performing Risk Assessments and Diagnostics or Risk analytics
• Familiarity with Risk & technology vendors a plus
• Experience with implementations of complex solutions and products in the financial services industry is a plus
• Understanding of Compliance processes
• Understanding of Compliance Regulatory Requirements
• Interaction with management with a company's C-suite is a plus

Career level : Manager
Report to : Senior Manager
Job status : Permament

Salary Range : Rp 20.000.000,- up to Rp. 30.000.000,-/month

Job Location : Jakarta Pusat

Send CV to :
put email Subject : RMM-ACT-JAC

No comments:

Post a Comment