55 Risk Manager jobs in Vietnam
Financial Risk Manager
Posted today
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Responsibilities:
- Develop and implement comprehensive financial risk management frameworks and policies.
- Identify, assess, and monitor various financial risks, including market risk, credit risk, liquidity risk, and operational risk.
- Design and implement risk mitigation strategies and controls.
- Conduct regular stress testing and scenario analysis to evaluate the impact of adverse market conditions.
- Ensure compliance with relevant financial regulations and industry standards.
- Prepare risk reports and present findings to senior management and the board of directors.
- Develop key risk indicators (KRIs) and monitor their performance.
- Collaborate with finance, legal, and operations teams to embed risk management practices.
- Stay abreast of emerging risks and regulatory changes in the financial industry.
- Manage relationships with external auditors and regulators regarding risk matters.
- Develop and maintain risk models and assessment tools.
- Provide training and guidance to employees on risk management principles.
- Contribute to the strategic decision-making process by providing risk insights.
- Oversee the internal controls framework related to financial operations.
- Master's degree in Finance, Economics, Mathematics, or a related quantitative field.
- Professional certifications such as FRM, PRM, CFA, or equivalent are highly desirable.
- Minimum of 7 years of experience in financial risk management, preferably within the banking or financial services sector.
- In-depth knowledge of financial markets, instruments, and risk management techniques.
- Strong analytical, quantitative, and problem-solving skills.
- Proficiency in risk management software and tools (e.g., statistical software, financial modeling).
- Excellent understanding of financial regulations (e.g., Basel accords, local regulations).
- Exceptional communication, presentation, and interpersonal skills.
- Proven ability to lead and influence cross-functional teams.
- Experience with data analysis and reporting.
Financial Risk Manager
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Senior Financial Risk Manager
Posted today
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Job Description
Key responsibilities include:
- Developing, implementing, and maintaining comprehensive financial risk management frameworks, policies, and procedures.
- Identifying, assessing, and quantifying financial risks, including market risk, credit risk, liquidity risk, and operational risk.
- Conducting stress testing and scenario analysis to evaluate the impact of adverse economic conditions on the company's financial position.
- Monitoring key risk indicators (KRIs) and implementing early warning systems.
- Designing and implementing risk mitigation strategies and controls.
- Ensuring compliance with relevant financial regulations and reporting requirements (e.g., Basel III, local banking regulations).
- Collaborating with business units to embed risk management principles into daily operations and decision-making processes.
- Preparing comprehensive risk reports and presentations for senior management, the board of directors, and regulatory bodies.
- Staying abreast of emerging financial risks, industry best practices, and regulatory changes.
- Managing relationships with external auditors and regulators on risk-related matters.
The ideal candidate will possess a Master's degree in Finance, Economics, Mathematics, or a related quantitative field, with a minimum of 7 years of experience in financial risk management, preferably within the banking or financial services sector. A strong understanding of financial markets, instruments, and risk modeling techniques is essential. Proven experience with risk management software and quantitative analysis tools (e.g., SAS, R, Python) is highly desirable. Excellent analytical, problem-solving, and communication skills are paramount. Certifications such as FRM (Financial Risk Manager) or PRM (Professional Risk Manager) are a significant plus. The ability to work independently, manage complex projects, and communicate effectively with diverse teams in a remote environment is crucial.
This is an exceptional opportunity for a seasoned financial professional to lead risk management initiatives in a dynamic, fully remote setting. We seek individuals with a keen eye for detail, strong ethical standards, and a commitment to fostering a robust risk culture.
Senior Financial Risk Manager
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Senior Banking Risk Manager
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Senior Cybersecurity Risk Manager
Posted 2 days ago
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Job Description
Responsibilities:
- Develop, implement, and maintain the organization's cybersecurity risk management program.
- Conduct comprehensive cybersecurity risk assessments and vulnerability analyses.
- Identify and prioritize cybersecurity risks, developing mitigation strategies and action plans.
- Monitor the evolving threat landscape and adapt risk management strategies accordingly.
- Develop and update cybersecurity policies, standards, and guidelines.
- Ensure compliance with relevant industry regulations and legal requirements (e.g., GDPR, CCPA).
- Collaborate with IT, legal, and business units to integrate risk management into all aspects of the organization.
- Manage the incident response planning process and oversee post-incident reviews.
- Conduct security awareness training and communicate risk management findings to stakeholders.
- Oversee third-party risk assessments and ensure vendor compliance.
- Provide expert advice on cybersecurity risk management to senior leadership.
- Bachelor's degree in Computer Science, Information Security, Risk Management, or a related field. Master's degree preferred.
- Minimum of 7 years of experience in cybersecurity, with at least 3 years in a risk management or compliance role.
- Proven experience in developing and implementing cybersecurity risk management frameworks.
- Deep understanding of cybersecurity threats, vulnerabilities, and mitigation techniques.
- Knowledge of relevant regulations and compliance standards (e.g., NIST CSF, ISO 27001/27005, SOC 2).
- Professional certifications such as CISSP, CRISC, CISM, or CISA are highly desirable.
- Excellent analytical, strategic thinking, and problem-solving skills.
- Strong leadership, communication, and interpersonal skills.
- Ability to work independently and collaboratively in a remote team environment.
- Experience with GRC tools and platforms is a plus.
Senior Financial Risk Manager - Market and Credit Risk
Posted today
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Key Responsibilities:
- Identify, assess, and manage financial risks (market, credit, operational, liquidity).
- Develop and implement robust risk management frameworks and policies.
- Conduct stress testing and scenario analysis.
- Design and monitor Key Risk Indicators (KRIs).
- Prepare risk reports for senior management and regulatory authorities.
- Ensure compliance with relevant financial regulations and guidelines.
- Collaborate with business units to embed risk management practices.
- Evaluate the risk impact of new products and strategies.
- Maintain expertise in financial instruments and derivatives.
- Manage relationships with internal and external auditors.
- Master's degree in Finance, Economics, Mathematics, or a related field.
- Minimum 7 years of experience in financial risk management within the banking/financial services sector.
- In-depth knowledge of market risk, credit risk, and Basel regulations.
- Experience with risk modeling and statistical analysis.
- Proficiency in risk management software.
- Strong analytical and problem-solving skills.
- Excellent communication, presentation, and interpersonal skills.
- FRM or PRM certification is a plus.
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[urgent] Operational Risk Management Expert (Hanoi)
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**Job Description**:
- Work in agile team, play a role as a business analyst consulting operational risk matters to build up apps, digital tools.
- Support focal point for receiving and implementing Operational risk policies and tools at Division in accordance with the bank’s Operational Risk Management Framework.
- Participate in designing and implementing operational risk management tools Resolve cases and problems related to operational risks in the incharge Division.
- Support or be the focal point for interaction with functional departments in assessment, inspection, investigation, and supervision of Operational Risks with customers under management
- Participate in managing operational risk portfolio control risk index within approved appetite / limits.
- Participate in reporting the current status of operational risks in BB/RBG segment, propose appropriate control measures.
- Conduct training, communication on compliance and control of operational risk related to the customer segment under management
- Others as per requested
**Job Requirements**:
**Requirements**:
- Minimum 5-7 years in the position related to credit / inspection and audit
- Profound knowledge about products/services applied for corporate customers in Bank industry
- Working experience about policies/procedures applied for corporate customers in the bank is preferrable
- Working experience related to compliancevàoperational risk management is preferrable
- Good command of English
**Job Locations**:
- Ha Noi
Risk Assessment Manager
Posted 2 days ago
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Senior Financial Analyst & Risk Manager
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