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- 30 August 2010
- Reference: JR210083
-
Manager/Senior Manager, Risk Management Advisory
- Dubai USD80,000 - USD120,000 p/a Permanent
- Benefits: Bonus
A Financial Services Risk Senior Manager is required for a leading Management Consulting firm to cover Saudi Arabia from their regional headquarters in Dubai. My client is an employee focused organisation who offer fantastic personal and career development opportunities. This position offers huge potential for a talented and ambitious Financial Services Risk Manager looking to excel in a leadership role. This role covers all aspects financial risk management, quantitative modelling and risk-related regulation in the financial services industry. A strong knowledge of either Operational, Market and Credit Risk are key requirements for this position.
The Financial Services Risk Manager will be responsible for leading multiple client engagement teams and as such should be commercially minded as this role holds direct responsibility for business development and ultimately revenue generation. As a Manager or Senior Manager within the Financial Services Risk Management team you will have a broad and varied leadership role . Your remit will cover all aspects of financial risk management, risk related regulation and quantitative modelling in the financial services industry. Your role will include proposal writing, planning and execution of projects. Projects will include.
Set up and design of risk management functions.
Developing Risk policies and procedures
Basel II and Solvency II gap analysis and interpretation.
Selection of IT systems for risk management functions and processes
The Manager Financial Services Risk Management will be measured against a number of key criteria including: Financial Growth, Service Quality & Client Care, Operational Excellence and Human Capital Management.
Requirements.
Proven leadership skills gained through circa 8 - 10 years relevant experience 4 years of which will ideally be in a leadership role. A strong commercial focus with excellent communication and presentation skills. You must be able to demonstrate extensive knowledge and experience within the areas of market risk, quantitative risk modelling, Basel II and/or Credit Risk. You will ideally hold a numerical degree or equivalent, with a professional qualification strongly preferred. Experience of working for a "Big 4" consulting firm in either your current or previous position is preferred, previous management consulting experience is essential. You will have extensive experience in Banking, Asset Management or Insurance. A proven background in business development and revenue generation is a must. Applicants must be fluent in written and spoken English to the level of a native speaker.
Joslin Rowe - Winner of 4 UK Recruiter Awards including Best Accountancy/Financial Recruitment Firm and Best Office Support Agency.
Joslin Rowe is a Randstad company. Joslin Rowe Associates Ltd encourages applications from individuals from all backgrounds but candidates must be able to demonstrate their ability to work in the UK. Joslin Rowe Associates Ltd is acting as an Employment Agency in relation to this vacancy.
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