Risk Manager

Financial Services
London, GB
Closing date
4 Jun 2022

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Job Type
Full Time
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Funds Management firm, London based, Financial Services Description For the Risk Manager role the focuses will be : ERM Risk Framework
• Responsible for ensuring the ERM Risk Framework remains up to date by working with the Senior Management Team to ensure that appropriate risks have been captured. Business process are proportionate and considers the size of the business.
• Work with the HOC to review the Compliance Monitoring plan to ensure it captures regulatory risk to the business and suggest relevant changes where needed.
• Working with the business to understand applicable risks are captured and owned appropriately. Reporting
• Work with the HOC to ensure risk management reporting to the Board is concise and highlights any areas of concern.
• Also work on how Risk Reports can be adapted for reporting to other company boards, for example VCT's, GRID, SEC and other business as needed. AIFMD Risk Committee (fund risks)
• Responsible for the quarterly AIFMD Risk Reporting The AIFM Risk Management Committee is chaired by the CFO.
• This includes arranging the quarterly review meetings.
• Collecting data from each business area
• Undertaking reviews of data received
• Minute taking of each meeting. Profile A Risk Management candidate with a background in Funds Management market is most suitable. ERM or Operational Risk. ICAAP reporting useful. Job Offer Competitive salary and bonus offering for the Risk Manager role
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