This position is pivotal for: Supporting the Risk Manager and the Head of Internal Audit and Risk Supporting the wider business in working within relevant regulatory frameworks Ensuring risk policies are complied with within reasonable risk parameters Championing risk management through profile maintenance, control review, challenge and development Key Responsibilities Supporting the enhancement of Risk Management frameworks, policy statements and methodology, ensuring it is aligned with best practice. Providing independent reports to management and stakeholders with respect to risk control reviews and testing in the organisation. Updating and publishing operational policies and procedures to achieve identified risk management objectives Maintain a library of business unit risk profiles. As risk profiles are defined and embedded, performing routine control testing and attestation work. Leading the Risk Management capability for the KL Office and partnering with the Operational business. Staying informed of all appropriate current and upcoming regulatory environments and frameworks. Promoting appropriate risk behaviour and culture by the effective communication and dissemination of risk strategy, policies and processes. Identifying and providing developmental risk training to relevant staff. Supporting the Risk Manager in other risk related tasks. Requirements Bachelor\'s degree in Commerce / Accounting / Finance, or relevant field. A minimum of 3+ years\' experience as a Risk or Compliance Officer or similar position. Working experience in the broking and wealth industry is desirable, but not necessary. Strong knowledge of financial services, financial crime and back office operations. Strong written and verbal communication skills and interpersonal abilities. Highly organised with the ability to manage a varied workload. High level of attention to detail and accuracy.
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