A prominent Asset Management Company in Pakistan is looking for a dedicated Manager - Risk Management. This role involves designing and implementing a comprehensive risk management framework, analyzing the financial impact of risks on funds, and conducting periodic risk reviews. The manager will also provide risk simulations for stock market volatility and offer proactive, independent insights into the risk-taking activities of Fund Managers. An MBA or Master's degree from an HEC approved university is required, preferably with a certified FRM (Financial Risk Manager) designation, along with 5 years of experience in an Asset Management Company or Financial Institution. Apply for this Manager - Risk Management job in Pakistan if you have the relevant skills and experience.