11 Financial Administration jobs in Vietnam

Director of Financial Risk Management

54000 Can Tho , Can Tho WhatJobs

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full-time
Our client is seeking a seasoned and strategic Director of Financial Risk Management to oversee and enhance their risk framework. This role requires a sophisticated understanding of financial markets, regulatory landscapes, and robust risk mitigation strategies. You will lead the identification, assessment, and management of all financial risks, including market risk, credit risk, liquidity risk, and operational risk. Responsibilities include developing and implementing comprehensive risk policies and procedures, conducting stress testing and scenario analysis, and providing expert advice to senior management and the board on risk-related matters. The ideal candidate will have a strong analytical background, extensive experience in financial risk management within the banking or financial services sector, and a proven ability to build and lead high-performing teams. Exceptional communication and presentation skills are essential to effectively convey complex risk information to diverse audiences. You will also be responsible for ensuring compliance with all relevant financial regulations and capital requirements. This leadership position requires a forward-thinking individual who can anticipate emerging risks and develop proactive strategies to address them. Your ability to foster a strong risk-aware culture throughout the organization will be paramount. We are looking for a strategic thinker with a deep understanding of financial modeling and quantitative analysis techniques. Experience with enterprise risk management (ERM) frameworks and regulatory bodies such as Basel III is highly desirable. Join our client and play a critical role in safeguarding the company's financial health and stability, driving sustainable growth through effective risk governance.
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Senior Financial Analyst - Risk Management

560000 Phan Thiet, Binh Thuan WhatJobs

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full-time
Our client is seeking a highly analytical and experienced Senior Financial Analyst to focus on Risk Management within their Banking and Finance division. This fully remote position requires a candidate with a deep understanding of financial markets, risk assessment methodologies, and regulatory frameworks. The Senior Financial Analyst will be responsible for analyzing financial risks, developing risk models, and implementing strategies to mitigate potential financial exposures for our operations, including those connected to Phan Thiet, Binh Thuan, VN . Key duties include evaluating credit risk, market risk, and operational risk; performing financial forecasting and scenario analysis; and preparing comprehensive risk reports for senior management. You will collaborate with various departments to identify and assess risk factors and recommend appropriate control measures. The ideal candidate will possess a Bachelor's or Master's degree in Finance, Economics, or a related field, along with at least 5 years of experience in financial analysis, risk management, or a similar role within the financial services industry. Proficiency in financial modeling software, data analysis tools (e.g., Excel, SQL, Python), and a strong understanding of quantitative methods are essential. Excellent communication skills are needed to present complex financial information clearly and concisely. Certifications such as CFA or FRM are highly preferred. This is a remote-first opportunity, offering significant flexibility and the chance to work with a leading financial institution. You will play a critical role in safeguarding the company's financial health and contributing to strategic decision-making. Join a team that is dedicated to excellence in financial stewardship and offers opportunities for professional growth.
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Senior Financial Analyst - Risk Management

940000 Can Tho , Can Tho WhatJobs

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full-time
Our client is looking for a highly analytical and experienced Senior Financial Analyst to join their fully remote finance team. This critical role will focus on identifying, assessing, and mitigating financial risks across the organization. You will be responsible for developing and implementing robust risk management frameworks, conducting quantitative and qualitative analyses, and providing strategic insights to senior leadership. Key responsibilities include analyzing financial data to identify potential vulnerabilities, monitoring market trends and regulatory changes impacting financial risk, and developing hedging strategies. You will also play a key role in compliance reporting and internal control assessments. The ideal candidate possesses a strong background in financial modeling, quantitative analysis, and risk assessment methodologies. Excellent proficiency in financial software, data analysis tools (e.g., Excel, SQL, Python), and BI platforms is essential. You must have exceptional attention to detail, critical thinking skills, and the ability to communicate complex financial concepts clearly and concisely. A bachelor's degree in Finance, Economics, Accounting, or a related field is required, with a Master's degree or professional certification (e.g., CFA, FRM) being highly desirable. This is an outstanding opportunity to contribute to the financial health and stability of the organization from a remote location, working with a dynamic team and making a significant impact on strategic decision-making. Your expertise will be vital in safeguarding the company's assets and ensuring long-term financial resilience.
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Senior Financial Analyst - Risk Management

32000 Thai Binh , Thai Binh WhatJobs

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full-time
Our client, a leading financial institution in the region, is seeking a highly analytical and detail-oriented Senior Financial Analyst specializing in Risk Management. This role involves a hybrid work arrangement, allowing for a blend of in-office collaboration and remote flexibility. You will be responsible for identifying, assessing, and mitigating financial risks across various business units, ensuring compliance with regulatory requirements and internal policies. Key responsibilities include developing and implementing risk models, conducting stress tests and scenario analyses, monitoring market trends, and providing strategic insights to senior management. You will also play a crucial role in the preparation of risk reports, presenting findings and recommendations clearly and concisely. The ideal candidate will possess a strong understanding of financial markets, quantitative analysis techniques, and risk management frameworks. Proficiency in financial modeling software, statistical analysis tools, and programming languages such as Python or R is highly desirable. A Bachelor's or Master's degree in Finance, Economics, Statistics, or a related field is required, along with a minimum of 5 years of experience in financial analysis, risk management, or a similar quantitative role within the banking or financial services industry. Professional certifications such as FRM or CFA are a significant plus. Excellent communication and interpersonal skills are essential for collaborating effectively with cross-functional teams and stakeholders. You should be adept at translating complex financial data into actionable business insights and possess a proactive approach to identifying and managing potential risks. This is an excellent opportunity to contribute to the financial stability and strategic growth of a reputable organization while developing your career in a dynamic sector. Our client values a data-driven approach and rewards initiative and a commitment to continuous improvement. Join a team that is dedicated to maintaining the highest standards of financial integrity and risk oversight.
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Senior Financial Analyst - Risk Management

07000 My Tho, Tien Giang WhatJobs

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full-time
Join our fully remote team as a Senior Financial Analyst specializing in Risk Management. This critical role involves developing and implementing robust financial risk assessment frameworks, analyzing market trends, and advising on strategies to mitigate financial exposure for our global operations. You will be instrumental in ensuring the financial health and stability of the organization by proactively identifying and managing potential risks. As a remote-first company, we provide the tools and support necessary for you to excel from anywhere. You will work closely with senior leadership and various departments to integrate risk management principles into daily business operations.

Key responsibilities include:
  • Developing and refining financial models to assess credit risk, market risk, and operational risk.
  • Analyzing financial data, economic indicators, and industry benchmarks to identify emerging risk factors.
  • Implementing and maintaining risk management policies and procedures across the organization.
  • Preparing comprehensive risk reports and presentations for senior management and regulatory bodies.
  • Collaborating with treasury, compliance, and audit teams to ensure a holistic approach to risk management.
  • Designing and executing stress testing scenarios to evaluate the company's resilience to adverse market conditions.
  • Monitoring regulatory changes and ensuring the company's risk framework remains compliant.
  • Contributing to the development of risk mitigation strategies and contingency plans.
  • Identifying opportunities for process improvement within the risk management function.
  • Providing training and guidance to business units on risk awareness and best practices.
  • Utilizing advanced analytics tools and software to enhance risk identification and measurement capabilities.

The ideal candidate will hold a Bachelor's degree in Finance, Economics, Accounting, or a related quantitative field, with at least 5 years of experience in financial analysis, preferably with a focus on risk management within the banking or financial services sector. A Master's degree or relevant professional certification (e.g., CFA, FRM) is highly desirable. Strong analytical skills, proficiency in financial modeling software (e.g., Excel, Python, R), and a deep understanding of financial markets and regulations are essential. Excellent communication and presentation skills are required to convey complex financial information effectively to diverse audiences. This role offers the opportunity to make a significant impact in a flexible, remote working environment.
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Senior Financial Analyst - Risk Management

60000 Pleiku, Gia Lai WhatJobs

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full-time
Our client, a respected financial institution, is seeking a highly analytical and experienced Senior Financial Analyst to join their esteemed risk management division. This position is a fully remote role, allowing you to contribute your expertise from anywhere. You will be responsible for analyzing financial data, assessing risks, developing risk mitigation strategies, and providing insights to support strategic decision-making. The ideal candidate will possess a strong background in finance, accounting, risk management, and advanced analytical skills, coupled with proficiency in financial modeling and reporting tools. This is an exceptional opportunity to make a significant impact in a critical area of the financial sector.

Responsibilities:
  • Conduct in-depth analysis of financial data to identify and assess potential risks (market, credit, operational, liquidity).
  • Develop and implement robust risk management frameworks and models.
  • Prepare comprehensive financial reports, including risk assessments and trend analyses.
  • Monitor key risk indicators (KRIs) and alert management to significant changes or potential issues.
  • Collaborate with various departments to gather data and ensure consistent risk reporting.
  • Develop financial models to forecast potential impacts of market changes or strategic decisions.
  • Provide recommendations for risk mitigation strategies and control enhancements.
  • Ensure compliance with regulatory requirements and industry best practices in risk management.
  • Contribute to the development and refinement of internal policies and procedures.
  • Present findings and recommendations to senior management and relevant committees.
  • Stay updated on financial markets, economic trends, and regulatory changes impacting the financial sector.
  • Mentor junior analysts and contribute to team development.

Qualifications:
  • Bachelor's degree in Finance, Economics, Accounting, or a related field; MBA or Master's degree preferred.
  • Minimum of 7 years of experience in financial analysis, risk management, or a related role within the banking or financial services industry.
  • Strong understanding of financial markets, instruments, and risk management principles.
  • Proficiency in financial modeling, data analysis, and statistical techniques.
  • Advanced skills in Excel, financial software (e.g., Bloomberg, Reuters), and ideally data visualization tools (e.g., Tableau, Power BI).
  • Excellent analytical, problem-solving, and critical thinking abilities.
  • Strong written and verbal communication skills, with the ability to articulate complex financial concepts clearly.
  • Detail-oriented with a high degree of accuracy.
  • Ability to work independently and manage multiple priorities effectively in a remote environment.
  • Relevant professional certifications such as CFA, FRM, or PRM are highly desirable.

This role is connected to **Pleiku, Gia Lai, VN**, but is exclusively a fully remote position.
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Senior Financial Analyst - Risk Management

94000 Can Tho , Can Tho WhatJobs

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Job Description

full-time
Our client, a leading financial institution in the Can Tho region, is seeking a highly analytical and detail-oriented Senior Financial Analyst with a specialization in Risk Management. This fully remote position offers the opportunity to work with a globally recognized company and contribute to its robust risk assessment frameworks. You will play a critical role in identifying, analyzing, and mitigating financial risks across the organization, ensuring compliance with regulatory requirements and safeguarding the company's financial health. This role demands a sophisticated understanding of financial markets, quantitative analysis, and risk modeling techniques.

Key Responsibilities:
  • Conduct in-depth analysis of financial data to identify and assess potential risks, including market risk, credit risk, operational risk, and liquidity risk.
  • Develop, implement, and refine risk models and methodologies to quantify potential losses and assess risk exposure.
  • Monitor key risk indicators (KRIs) and develop early warning systems to proactively manage emerging risks.
  • Prepare comprehensive risk reports and presentations for senior management and regulatory bodies, clearly articulating findings and recommendations.
  • Collaborate with various departments, including finance, operations, and compliance, to integrate risk management principles into business processes.
  • Ensure adherence to relevant financial regulations and compliance standards (e.g., Basel Accords, local regulations).
  • Perform stress testing and scenario analysis to evaluate the company's resilience under adverse market conditions.
  • Contribute to the development and implementation of risk mitigation strategies and internal controls.
  • Stay current with financial market trends, economic conditions, and evolving regulatory landscapes that may impact the company's risk profile.
  • Mentor junior analysts and contribute to the overall growth and expertise of the risk management team.

Required Qualifications:
  • Bachelor's or Master's degree in Finance, Economics, Mathematics, Statistics, or a related quantitative field.
  • Minimum of 5 years of experience in financial analysis, risk management, or a related role within the banking or financial services industry.
  • Strong proficiency in financial modeling, statistical analysis, and risk assessment techniques.
  • Expertise in using financial software and analytical tools (e.g., Excel VBA, Python, R, SQL).
  • In-depth knowledge of financial regulations and risk management frameworks.
  • Excellent analytical, problem-solving, and critical-thinking skills.
  • Superior communication and presentation skills, with the ability to convey complex financial information clearly and concisely.
  • Ability to work independently, manage multiple projects simultaneously, and meet tight deadlines in a remote environment.
  • Professional certifications such as FRM, PRM, or CFA are highly advantageous.
This is an exceptional opportunity for a seasoned financial professional to leverage their risk management expertise in a fully remote capacity, contributing significantly to the stability and success of a prominent financial institution.
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Senior Financial Analyst - Risk Management

550000 Hoa Sơn WhatJobs

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Job Description

full-time
Our client is seeking a highly analytical and experienced Senior Financial Analyst to focus on risk management within our banking operations. This fully remote role is critical for identifying, assessing, and mitigating financial risks to protect the company's assets and ensure regulatory compliance. You will be responsible for developing and implementing risk assessment models, conducting thorough financial analysis, and providing strategic recommendations to senior management. Your core duties will include analyzing market risk, credit risk, operational risk, and liquidity risk, as well as monitoring key risk indicators and reporting on potential exposures. You will collaborate closely with various departments, including treasury, compliance, and operations, to ensure a comprehensive approach to risk management. Key responsibilities involve performing in-depth financial modeling, stress testing, and scenario analysis. The ideal candidate will possess a strong understanding of financial markets, banking regulations, and risk management frameworks. Proficiency in financial modeling software, data analysis tools (e.g., SQL, Python), and advanced Excel skills is essential. Excellent analytical, problem-solving, and communication skills are paramount for articulating complex financial concepts and risk assessments to both technical and non-technical audiences. A Bachelor's or Master's degree in Finance, Economics, or a related field, along with relevant professional certifications (e.g., CFA, FRM), is highly preferred. If you are a strategic thinker with a passion for financial analysis and risk mitigation in the banking sector, this remote opportunity offers a challenging and rewarding career path.
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Management Consultant - Financial Strategy

350000 An Thanh WhatJobs

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contractor
Our client seeks a highly skilled Management Consultant specializing in Financial Strategy for their operations in Vung Tau, Ba Ria–Vung Tau, VN . This role is crucial for advising businesses on financial planning, investment strategies, and risk management to foster sustainable growth and profitability. You will be responsible for conducting in-depth financial analysis, developing financial models, and providing strategic recommendations to clients on capital allocation, mergers and acquisitions, and operational efficiency improvements. The ideal candidate will possess a strong financial acumen, exceptional analytical and problem-solving skills, and a deep understanding of financial markets and economic trends. Proven experience in delivering high-impact financial advisory services is essential.

Key responsibilities include:
  • Conducting detailed financial statement analysis and due diligence.
  • Developing robust financial models for forecasting, valuation, and scenario planning.
  • Advising clients on corporate finance strategies, including debt and equity financing.
  • Assisting clients with mergers, acquisitions, and divestiture processes.
  • Identifying and mitigating financial risks and improving internal controls.
  • Developing strategic recommendations to enhance profitability and shareholder value.
  • Preparing and presenting comprehensive financial reports and presentations to senior management.
  • Staying abreast of regulatory changes and their impact on financial strategies.
  • Collaborating with clients to implement strategic financial initiatives.
  • Providing expert advice on investment appraisal and capital budgeting.
  • Optimizing working capital management and cash flow.
  • Assisting with business valuation and financial restructuring.
A Master's degree in Finance, Economics, or a related field, along with professional certifications such as CFA or CPA, is highly desirable. A minimum of 7 years of progressive experience in financial consulting, investment banking, or corporate finance is required. Strong knowledge of financial regulations, capital markets, and business valuation methodologies is essential. Excellent presentation, communication, and client relationship management skills are critical. Experience in the energy or maritime sectors prevalent in the Vung Tau region would be an advantage. This role offers significant exposure to diverse business challenges and opportunities for professional growth.
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Senior Financial Analyst, Risk Management (Remote)

530000 Hoa Sơn WhatJobs

Posted 1 day ago

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full-time
Our client is seeking a highly analytical and detail-oriented Senior Financial Analyst with expertise in Risk Management to join their accounting team. This role will be fully remote, offering a fantastic opportunity to contribute to financial stability and strategic decision-making from anywhere. The Senior Financial Analyst will be responsible for identifying, assessing, and mitigating financial risks across the organization. Key duties include developing and implementing risk management frameworks, conducting financial modeling and stress testing, analyzing financial data to identify potential exposures, and preparing reports for senior management. You will work closely with various departments to understand their risk profiles and ensure compliance with internal policies and external regulations. The ideal candidate possesses a strong understanding of financial markets, corporate finance, accounting principles, and risk management methodologies. Excellent analytical, problem-solving, and communication skills are crucial for success in this role. You will be expected to leverage advanced Excel skills, financial software, and data visualization tools to present complex information clearly and concisely. This remote position requires a self-starter with excellent time management skills and the ability to collaborate effectively with a distributed team. Your insights will be vital in safeguarding the company's financial health and supporting its strategic objectives.
Qualifications:
  • Bachelor's degree in Finance, Accounting, Economics, or a related field.
  • Professional certification such as CFA, FRM, or CPA is highly preferred.
  • Minimum of 5 years of experience in financial analysis, risk management, or a related role.
  • Strong knowledge of financial modeling, valuation techniques, and statistical analysis.
  • Proficiency in accounting software and advanced Excel skills.
  • Experience with risk management frameworks and regulatory compliance.
  • Excellent analytical, quantitative, and problem-solving abilities.
  • Strong communication and presentation skills, with the ability to explain complex financial concepts.
  • Experience working in a remote capacity and managing tasks independently.
Join our client's team and make a significant impact on financial risk strategy in a flexible, remote work environment.
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