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Head of Risk Management

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Dealls Indonesia (sitemap + page JSON)
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Deskripsi pekerjaan

Tanggung jawab

  1. Develop and implement the company’s overall risk management strategy.
  2. Lead, oversee, and provide strategic direction to the Risk Management team to ensure effective risk mitigation and compliance.
  3. Establish the company’s risk appetite and ensure alignment with business objectives and regulatory requirements.
  4. Oversee the development and implementation of credit risk models, including credit assessment, borrower verification, and loan default prediction.
  5. Analyze borrower behaviour, payment patterns, and overall portfolio performance to support data-driven risk decisions.
  6. Identify operational risks related to lending activities, including fraud, data security, and operational inefficiencies.
  7. Ensure robust internal controls and processes are in place to prevent fraud and maintain compliance with industry standards.
  8. Develop and implement business continuity and disaster recovery plans.
  9. Develop risk mitigation strategies related to liquidity, investments, and market volatility.
  10. Ensure the company complies with applicable regulations, Anti-Money Laundering (AML) requirements, and data privacy laws.
  11. Collaborate with the Legal and Compliance teams to address regulatory changes and concerns.
  12. Provide regular and transparent reporting on risk metrics, strategies, and outcomes.
  13. Build a strong risk awareness culture across the organization, ensuring that all employees understand and prioritize risk management in their respective roles.
  14. Provide training and development programs on risk management best practices.

Persyaratan

  1. Bachelor’s or Master’s degree from a reputable university, preferably in Finance, Economics, Accounting, Business, Risk Management, or other relevant fields.
  2. Minimum 10 years of relevant experience in Risk Management within the financial services, banking, or related industries.
  3. Solid knowledge of risk management principles, credit risk management, and financial institution business processes.
  4. Strong understanding of OJK regulations and other applicable regulations, particularly those related to P2P Lending and financial services.
  5. A Risk Management Certification Level 5 from AFPI is preferred.

Referensi: 34422 · Berlaku sampai 10 Oktober 2026

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