Offer summary
Qualifications:
Master's degree in Finance/Economics or relevant Risk Management education, 6+ years working experience in an international context, understanding of risk management practices.
Key responsabilities:
- Support embedding and maintenance of overall risk management framework
- Ensure risk management standards and policies are up to date
- Report to key stakeholders on risk exposures and performance
- Maintain corporate risk registers
- Facilitate risk workshops and interact with stakeholders