An international banking group is looking for a Risk Manager. The chosen applicant will be working within a robust control environment, ensuring alignment with internal directives and local regulatory expectations.
Responsibilities:
- Identify, monitor, and manage risk exposures and issues in line with defined directives and regulatory expectations
- Perform self-assessments on current activities and controls to assess risk exposure
- Ensure compliance with established processes and controls through periodic reviews
- Provide regular risk reporting to local and regional management
- Escalate material risks and thematic issues with accompanying action plans
- Train staff on applicable risk and control processes
- Liaise with internal and external auditors for reviews
- Independently manage relationships with local, regional, and global stakeholders
Requirements:
- More than 5 years of experience in risk management functions of a regulated wealth or asset management firm, bank, or securities
- More than 2 years of experience in conducting internal audits or participating in audits at financial institutions
- Experience with identifying, monitoring, managing and remediating risks as well as day-to-day risk-related issues of the business
- Knowledge of trust business or discretionary investment management and advisory business and related regulations
- Strong understanding of risk and controls in areas such as sales and suitability, fraud, information security and data protection
- Proficient in written and verbal Japanese and English
About the Company:
A global leader in wealth and asset management, providing tailored financial solutions to individuals, families, and institutions. The company is renowned for its expertise in trust services, wealth planning, and sustainable investing.
Keywords:
リスク管理, 資産運用, 金融サービス, 銀行, 監査, 外資系
2086570/001