Risk Manager
Job Overview
An exciting and challenging opportunity has arisen for an aspirational Risk Manager to work for an established financial services firm in Nicosia with a global presence. The ideal candidate will have at least 3 years of working experience in the financial industry and be experienced in funds.
Job Description
- Ensure the company is up-to-date with the latest local and EU legislation, rules, and best practices regarding risk management
- Monitor the company’s and its products’ risk exposures
- Prepares, analyses, and submits various reports to top management
- Prepares periodic regulatory related reports and submissions
- Regularly review the internal Risk Regulatory guidelines and ensure that the most appropriate KRIs and ‘best practices’ are in place for the company
- Ensure that the Company maintains adequate internal control mechanisms
- Monitor and oversee financial and operational performance, evaluate the progress and identify areas for improvement
- Ensure full compliance with all applicable laws and regulatory requirements
- Manage and maintain strong relationships with internal and external stakeholders
- Maintain a deep knowledge of all the relevant sectors related to the Company’s operations
Your profile
- University degree in Finance, Management, Economics, Law or other related fields
- Experience in a role within Risk and Compliance is essential
- Solid understanding of Funds and the Financial Industry
- Excellent organization skills, able to work under pressure with minimum support
- Proven and advanced knowledge of CySec and European regulations relating to AML
- Advanced CySec certification
- Fluency in English & Greek is essential
- High level of interpersonal skills
- Excellent proven reporting skills
Benefits
- 13th salary
- Bonus on generated sales
- Small team and company, with many opportunities for development and progression