The Senior Risk Manager will be responsible for leading the Company’s risk management policies and procedures including planning and execution of risk initiatives, measuring, monitoring, and reporting on risk. The successful candidate will have an extensive engagement across a broad range of stakeholders including Executive Management and operations. Additionally, the candidate will engage with external
stakeholders including Regulators and the Company’s external auditors. DUTIES AND RESPONSIBILITIES
- Leading and coordinating Enterprise-Wide Risk Assessments.
- Monitoring and reviewing business process risk assessments.
- Coordinating and monitoring group wide incident reporting including action planning related to incident reports.
- Leading education and training related to risk management initiatives.
- Aggregation, monitoring and evaluation of risk exposures across the group.
- Building and maintaining relationships with a broad range of both internal and external stakeholders.
- Partnering with technology in the provision of business requirements to support strategic risk initiatives including best in class functionality to support analytical requirements.
- On an ad hoc and quarterly basis partnering with Executives and other key stakeholder groups in preparation of risk-related content for the Board.
- Assessment and management of all business-related financial risks including FX, interest rate, political, social, economic, and operational including fuel hedging and counterparty risk management.
- Active management of the portfolio of FX exposures and transactional risks that the group may face on an ongoing basis.
- Monitoring and evaluation of Group and subsidiary insurance programs including P&I, FD&D and Chartering coverage.
- Assessment and implementation of the active hedging program in accordance with group policy. DIRECT REPORTS
QUALIFICATIONS MINIMUM EXPERIENCE REQUIREMENTS
- 10+ years’ work experience in a wide variety of risk consultancy services across multiple industries PREFERRED EXPERIENCE REQUIREMENTS
- 10+ years’ work experience in a wide variety of risk consultancy services across multiple industries.
- Strong background in project management.
- Exposure to capital markets trading including derivatives MINIMUM EDUCATION REQUIREMENTS
- University degree at the master’s level.
- PREFERRED EDUCATION REQUIREMENTS
- University degree at the master’s level.
Job Types: Full-time, Permanent
Pay: ₹1,000,000.00 - ₹2,000,000.00 per year
Benefits:
- Cell phone reimbursement
- Health insurance
- Provident Fund
Experience:
- Risk management: 8 years (Required)
Work Location: In person