Vacancy

Details

Vacancy Number 05/2023
Title Manager Enterprise Risk Management (ERM)
Description Principle Responsibilities: The position will be responsible for: - Leadership of the risk function in full-service development bank for the strategic markets FDB operates in - being a credible and visible Champion for a strong risk culture amongst colleagues and peers - maintaining operating risk and 2nd line defence mechanism in line with agreed business strategies and banks Risk Appetite statements - acting as a trusted advisor to the respective Business Heads - providing independent oversight, review, and challenge for activities of Operational, Compliance, Market, Credit, Liquidity and Strategic Risks NATURE AND SCOPE: This position reports directly to the General Manger Risk and receives written and verbal direction from this individual. This position also reports functionally to the EXCO and Board ERM Committee and receives guidance from them. The position supervises and directs the roles of Portfolio Monitoring Officer and Monitoring & Compliance Officer. Oversight all 1st line assurance function or activity in terms of key control and help establish a risk tolerant environment. This position plans, organizes, co-ordinates and controls the activities of his/her staff to assist him/her in achieving his/her primary responsibilities, including his/her key performance indicators, monitors the departments’ spending against budgets and liaises with other internal and external stakeholders in addressing risk. The key tasks performed by this position is typically reviewed for decision by the General Manager Risk, EXCO and the Board or Board ERM Committee. This position is guided by the ERM Charter and relevant internal and external legislations, regulations, policies and procedures.
Qualification A minimum degree in Accounting, Economics, Business, Banking or related discipline. Additional professional certification and membership is desirable.
Experience • Proven extensive experience (5+ yrs.) in operational risk models preferably for financial institution. • Ability to lead workshops and deliver improved risk outcomes • Ability to make timely decisions in rapidly changing and high-risk situations. • Contribute to and influencing a strong control environment. • Excellent relationship and networking skills • Strategic management and thought leadership skills with demonstrated concern for the team and ability to grow others • Demonstrated high level of interpersonal and communication skills • Experience dealing with external banking regulators
Salary 55,968 - $83,952
Term 3
Start Date 2/7/2023
End Date 2/13/2023