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Risk manager in AVIOR, TOV, FK

Posted more than 30 days ago

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AVIOR, TOV, FK

AVIOR, TOV, FK

0
0 reviews
Without experience
Kyiv
Full-time work

Translated by Google

FC AVIOR LLC is a dynamic financial company that provides a wide range of services (factoring, leasing, financial loans). We adhere to high standards of transparency and reliability, therefore we are looking for an experienced specialist who will lead the direction of risk management and ensure the stability of our business.Main dutiesDevelopment of the risk management system: Development, implementation and updating of internal risk management regulations and procedures in accordance with the r

FC AVIOR LLC is a dynamic financial company that provides a wide range of services (factoring, leasing, financial loans). We adhere to high standards of transparency and reliability, therefore we are looking for an experienced specialist who will lead the direction of risk management and ensure the stability of our business.

Main duties

  • Development of the risk management system: Development, implementation and updating of internal risk management regulations and procedures in accordance with the requirements of the NBU (in particular, Resolutions No. 100, No. 185, No. 351 and etc.).

  • Identification and assessment of risks: Regular monitoring and analysis of credit, operational, market risks, as well as liquidity risks and compliance risks.

  • Reporting: Preparation and submission of regular management reports for management and mandatory reporting to the National Bank of Ukraine.

  • Control of limits: Setting and control of risk limits for individual transactions, counterparties and portfolios as a whole.

  • Stress testing: Conducting regular stress tests of the company's financial condition and analyzing scenarios of the impact of external factors.

  • Participation in credit committees: Providing expert conclusions regarding the expediency of operations and assessment of the quality of collateral (collateral).

Candidate requirements

  • Education: Higher economic, financial or mathematical education.

  • Work experience: From 3-5 years in the field of risk management in the banking sector or non-banking financial institutions (NFU).

  • Knowledge of legislation: In-depth understanding of the legal acts of the National Bank of Ukraine that regulate the activities of financial companies.

  • Analytical skills: Ability to work with large data sets, mastering methods of statistical analysis and financial modeling.

  • Professional ethics: High level of responsibility, principles and attention to details.

  • IT-skills: Confident user of MS Excel (complex formulas, pivot tables, VBA - will be an advantage), experience with accounting systems.

We offer

  • Official employment and competitive salary (based on the results of the interview).

  • Opportunity to influence strategic solutions and development of the company's risk management system.

  • Professional growth and training support.

  • Comfortable work schedule and modern office.

Translated by Google

Without experience
Kyiv
Full-time work
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