936 Senior Financial Risk Manager Remote jobs in Kenya
Lead Financial Risk Manager (Remote)
Posted 10 days ago
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Key Responsibilities:
- Develop and implement enterprise-wide risk management policies and procedures.
- Identify, assess, and monitor financial risks, including credit risk, market risk, liquidity risk, and operational risk.
- Design and oversee stress testing and scenario analysis programs.
- Develop risk appetite statements and key risk indicators (KRIs).
- Ensure compliance with relevant financial regulations (e.g., Basel Accords, local banking laws).
- Collaborate with business units to integrate risk management into strategic decision-making.
- Prepare comprehensive risk reports for senior management and the Board of Directors.
- Lead and mentor a team of risk analysts and managers.
- Stay abreast of emerging risks and evolving regulatory landscapes.
- Develop and maintain strong relationships with internal and external stakeholders, including regulators.
- Master's degree in Finance, Economics, Mathematics, or a related quantitative field. A professional certification like FRM or PRM is highly desirable.
- Minimum of 7-10 years of progressive experience in financial risk management within the banking or financial services sector.
- In-depth knowledge of various financial risk types and risk modeling techniques.
- Proven experience in developing and implementing risk management frameworks and policies.
- Strong understanding of banking regulations and compliance requirements.
- Excellent analytical, problem-solving, and strategic thinking skills.
- Exceptional leadership, communication, and interpersonal skills, with the ability to influence stakeholders at all levels.
- Proficiency in risk management software and data analysis tools.
- Ability to manage complex projects and lead cross-functional teams in a remote setting.
- Demonstrated ability to think critically and make sound judgments under pressure.
Senior Financial Risk Manager (Remote)
Posted 20 days ago
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Qualifications:
- Master's degree in Finance, Economics, Mathematics, Statistics, or a related quantitative field.
- Minimum of 7 years of experience in financial risk management, preferably within the banking or financial services sector.
- In-depth knowledge of various financial risks (market, credit, operational, liquidity) and mitigation strategies.
- Proven experience in developing and implementing risk management frameworks and policies.
- Strong quantitative skills, including proficiency in statistical modeling and risk analytics.
- Experience with financial modeling and data analysis tools (e.g., Excel, Python, R, SQL).
- Excellent communication, presentation, and interpersonal skills.
- Ability to work independently and manage multiple priorities in a remote setting.
- Relevant professional certifications (e.g., FRM, PRM) are a strong asset.
- Deep understanding of financial regulations.
Senior Financial Analyst & Risk Manager (Remote)
Posted 19 days ago
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Job Description
Key Responsibilities:
- Conduct comprehensive financial analysis, including variance analysis, trend analysis, and profitability studies.
- Develop financial models for forecasting, budgeting, and long-range planning.
- Identify, assess, and monitor financial risks, including market risk, credit risk, and operational risk.
- Develop and implement risk management policies, procedures, and controls.
- Prepare detailed financial reports and presentations for senior management and stakeholders.
- Analyze key performance indicators (KPIs) and provide insights to drive business performance.
- Evaluate investment opportunities and conduct due diligence.
- Ensure compliance with relevant financial regulations and reporting standards.
- Collaborate with internal and external auditors on financial and risk-related matters.
- Continuously identify opportunities for process improvements in financial reporting and risk management.
- Stay abreast of economic trends and their potential impact on the company's financial position.
Required Qualifications:
- Master's degree in Finance, Economics, Accounting, or a related quantitative field.
- Professional certifications such as CFA, FRM, or CPA are highly desirable.
- Minimum of 7 years of progressive experience in financial analysis, corporate finance, or risk management within the financial services industry.
- Proven expertise in financial modeling, forecasting, and budgeting.
- Strong knowledge of risk management principles, techniques, and regulatory frameworks.
- Proficiency in financial analysis software, ERP systems, and data visualization tools.
- Excellent analytical, quantitative, and problem-solving skills.
- Superior communication and presentation skills, with the ability to convey complex financial information clearly.
- Ability to work independently and manage multiple priorities in a remote setting.
- Experience with data analysis and business intelligence tools is a plus.
Head of Financial Risk Management - Remote Oversight
Posted 19 days ago
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Senior Financial Analyst - Risk Management (Remote)
Posted 18 days ago
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Senior Remote Financial Risk Manager
Posted 20 days ago
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Job Description
Responsibilities:
- Develop and implement enterprise-wide risk management strategies and policies.
- Identify, assess, and monitor financial risks, including market risk, credit risk, liquidity risk, and operational risk.
- Design and execute stress testing and scenario analysis programs.
- Ensure compliance with relevant financial regulations and reporting requirements.
- Develop and maintain risk models and methodologies.
- Provide expert advice to senior management and business units on risk-related matters.
- Oversee the risk management framework, ensuring its effectiveness and alignment with business objectives.
- Conduct independent reviews of risk controls and mitigation strategies.
- Prepare comprehensive risk reports for regulatory bodies and internal stakeholders.
- Collaborate with internal audit and compliance teams.
- Stay abreast of evolving financial risks, market dynamics, and regulatory changes.
- Develop and implement strategies to mitigate identified risks.
- Manage relationships with external risk consultants and service providers.
- Promote a strong risk management culture throughout the organization.
- Contribute to the strategic planning process from a risk perspective.
Qualifications:
- Master's degree in Finance, Economics, Statistics, Mathematics, or a related quantitative field.
- Professional certifications such as FRM (Financial Risk Manager), PRM (Professional Risk Manager), or CFA are highly desirable.
- Minimum of 8 years of progressive experience in financial risk management, preferably within banking or financial services.
- Proven expertise in market risk, credit risk, liquidity risk, and operational risk management.
- Strong understanding of financial markets, instruments, and regulatory frameworks (e.g., Basel Accords).
- Advanced quantitative and analytical skills, with experience in statistical modeling and risk analytics.
- Proficiency in risk management software and tools.
- Excellent communication, presentation, and interpersonal skills.
- Ability to work independently, manage complex projects, and lead initiatives in a remote setting.
- Strategic thinking and a proactive approach to risk identification and mitigation.
- Demonstrated leadership capabilities and ability to influence stakeholders.
- Experience in developing and implementing risk policies and procedures.
- Knowledge of data analysis and visualization tools.
This remote Senior Financial Risk Manager position offers an exciting chance for a seasoned professional to make a substantial impact on the financial integrity of our client. You will have the autonomy to shape risk strategies and lead initiatives from anywhere. If you are a forward-thinking risk expert passionate about safeguarding financial institutions in a dynamic global landscape, we encourage you to apply.
Senior Financial Analyst - Remote Risk Management
Posted 20 days ago
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Remote Financial Analyst - Risk Management
Posted 20 days ago
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Job Description
Key Responsibilities:
- Identify, assess, and monitor various financial risks, including market risk, credit risk, liquidity risk, and operational risk.
- Develop and implement robust risk management frameworks, policies, and procedures.
- Create and maintain financial models to analyze potential risks and their impact on the organization.
- Conduct stress testing and scenario analysis to evaluate the resilience of the company's financial position.
- Monitor compliance with regulatory requirements and internal risk policies.
- Prepare detailed risk assessment reports and present findings and recommendations to senior management and relevant committees.
- Collaborate with different departments to understand their risk exposures and develop appropriate mitigation strategies.
- Stay updated on industry best practices, regulatory changes, and emerging risks in the financial sector.
- Utilize data analytics tools to identify trends and anomalies that may indicate potential risks.
- Assist in the development and implementation of risk mitigation plans.
- Master's degree in Finance, Economics, Statistics, Mathematics, or a related quantitative field.
- Minimum of 5 years of experience in financial analysis, risk management, or a related role within the banking or financial services industry.
- Strong understanding of financial instruments, markets, and regulatory frameworks (e.g., Basel Accords).
- Proficiency in statistical analysis, financial modeling, and risk assessment techniques.
- Expertise in using data analysis tools and software (e.g., Excel, SQL, Python, R, Tableau).
- Excellent analytical, problem-solving, and critical thinking skills.
- Strong written and verbal communication skills, capable of explaining complex financial concepts clearly.
- Ability to work independently and effectively in a remote team environment.
- Relevant professional certifications (e.g., FRM, CFA) are highly desirable.
Senior Remote Financial Analyst - Risk Management
Posted 1 day ago
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Remote Lead Financial Analyst (Risk Management)
Posted 2 days ago
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Job Description
Responsibilities:
- Develop, implement, and refine financial risk management strategies and policies across the organization.
- Conduct in-depth analysis of financial data to identify, assess, and quantify various financial risks, including market risk, credit risk, operational risk, and liquidity risk.
- Build and maintain sophisticated financial models to forecast potential risk scenarios, stress test portfolios, and evaluate the impact of economic changes.
- Ensure compliance with all relevant financial regulations and reporting requirements (e.g., central bank guidelines).
- Prepare comprehensive risk assessment reports, providing clear insights and actionable recommendations to senior management and the board.
- Oversee the process of risk mitigation, working with relevant departments to implement control measures and contingency plans.
- Lead and mentor a team of financial analysts, providing guidance on analytical methodologies, project management, and professional development.
- Collaborate with internal and external auditors, regulators, and stakeholders to address risk-related inquiries and findings.
- Stay abreast of global financial market trends, economic indicators, and emerging risks, assessing their potential impact on the institution.
- Contribute to the strategic financial planning process by providing risk-based insights and recommendations.
- Master's degree in Finance, Economics, Mathematics, Statistics, or a related quantitative field.
- A minimum of 8 years of progressive experience in financial analysis, risk management, or a related area within the banking or financial services sector.
- Proven expertise in quantitative financial modeling, risk assessment techniques, and regulatory frameworks.
- Strong understanding of financial instruments, capital markets, and economic principles.
- Excellent analytical and problem-solving skills, with a meticulous attention to detail.
- Proficiency in financial modeling software, statistical analysis tools (e.g., R, Python), and database management.
- Exceptional written and verbal communication skills, with the ability to present complex financial information clearly and concisely to diverse audiences.
- Demonstrated leadership experience, with the ability to effectively manage and motivate a remote team.
- Professional certifications such as FRM, CFA, or PRM are highly desirable.
- Ability to work independently and take ownership of critical financial risk initiatives.