Core Responsibilities
The Manager - Risk Management will be central to safeguarding the company's assets and ensuring regulatory compliance. Key responsibilities include:- Designing and implementing an overall risk management process for the organization, including the analysis of financial impact on the funds as risks emerge.
- Providing periodic risk reviews to the Fund Management Team for local investments and conducting risk simulations to capture real-time volatility in stock markets.
- Offering proactive and independent insight into the risk-taking activities of Fund Managers within the capital markets.
Qualifications and Experience
Candidates for the Manager - Risk Management position should possess:- An MBA or Master's degree from an HEC approved university. A certification as a Financial Risk Manager (FRM) is highly preferable.
- A minimum of 5 years of experience working in any Asset Management Company or Financial Institution, with a focus on risk management.
Application Process
All positions offer an excellent career opportunity and a competitive remuneration package. Only shortlisted candidates will be called for the interview. The resumes must include date of birth, current location, CNIC number and complete education details. Interested candidates can email their complete resumes with the position title 'Manager - Risk Management' in the subject line to [email protected], latest by June 02, 2025.Submit Application
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