Senior Analyst, Risk Management

Requisition ID: 1700002R Job Code: STR/210/FBH Job: Risk & Reg Affsirs Job Description

Exciting career opportunities exist within FBN Holdings Plc for a dynamic, suitably qualified, focused, energetic, competent and self-motivated individual to join its vibrant team as Senior Analyst, Risk Management.
The search is targeted at both internal and external candidates with multi-tasking ability and flexibility to work in a dynamic and ever-evolving environment.
Reporting to the Head, Risk Management. The ideal candidate will assist in the development of strategy and enterprise risk framework with the sole objective of reducing operational risk to the barest minimum within the Group’s risk profile.

Job Responsibilities

Provide support in the development and implementation of Group ERM policy framework and other supporting policies.
Monitor and report on status of risk in the subsidiaries and effectiveness of existing controls.
Provide support in the implementation of risk management policies across the subsidiaries.
Evaluate new regulation as it affects business of subsidiaries and ensure compliance.
Monitor level of compliance with the Holding Company risk management standards.
Collate risk reports from the subsidiaries.
Prepares the periodic risk report for the Holding company management.
Provide other duties as specified by the Head, Risk Management.

Qualifications

A good first degree or its equivalent in any discipline.  Possession of higher degrees and/or professional certification will be an added advantage
Minimum of six (6) years’ experience in banking or financial services industry with at least 4 years in Risk Management related function.
Excellent knowledge of Risk Management, policies and procedures
Very good understanding of people/stakeholder management
Excellent problem solving and creative thinking skills
Excellent customer service orientation, good interpersonal and communication skills

Competency Requirements:

Sound knowledge of Operational Risk or Information Security 
Knowledge of Credit Risk & Compliance 
Sound knowledge on Liquidity and Market Risk
Good understanding of local and international Risk Management trends in the financial service industry.
Risk Control & Governance
Risk Modeling
Financial Asset & Liability management

Skills/Competencies:

Excellent business writing and verbal communication skills and ability to present ideas in a coherent, well-structured and persuasive manner
Excellent business and stakeholders’ management skills
Problem solving skills
Strong interpersonal skills
Team building skills
Ability to think strategically
Strong analytical skills (financial analysis, business valuation, data gathering)
People/ stakeholder management
Project Management skills
Strong presentation skills
Self-driven, proactive, with strong initiative

Eligibility:

Open to staff between SBO-DM grades

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