Senior Financial Risk Manager
Senior Financial Risk Manager focuses on leading the regional frm team and set a clear vision aligned to the group’s global risk strategy.
What the role involves
- Leading the regional FRM team and set a clear vision aligned to the Group’s global risk strategy.
- Driving the global development, enhancement and consistent adoption of risk frameworks.
- Leading global initiatives that modernise risk management, including methodology evolution, automation, and technology transformation programmes.
- Develop team capability, supporting succession planning, coaching, and high-performance culture building.
- Own the matched principal broking limit-setting process for the region across all asset classes, enabling business growth while maintaining robust risk standards.
- Leading the design, maintenance and continuous improvement of client credit scoring frameworks.
Skills and requirements
- Bachelor’s degree in: Finance, Economics, Mathematics, Engineering, Computer Science, or related field.
- Proven experience leading financial risk teams and delivering strategic change.
- Master’s degree or professional qualification (FRM, CFA, CQF or equivalent).
- Practical coding or data analysis skills in Python, R, SQL or equivalent.
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