Job Description
- To support the implementation and strengthening of the company’s financial risk framework and policies ensuring that a consistent framework is in place to systematically identify, measure, mitigate, report, monitor and manage the most significant risks.
- The role supports daily processes and activities that alert management about new issues and financial risks evolution
Role Qualification:
Academic/Professional:
- BSc/Degree in any related discipline from a reputable Tertiary Institution
- Relevant professional qualification would be an added advantage (i.e. ACCA, ICAN, FRM, CFA or similar equivalent).
- Possession of MBA will be an added advantage
Work Experience:
- 7 Years professional experience.
Key Responsibilities:
- Coordinate, support and supervise the proactive identification of main financial risks on regular basis.
- Develop and support the implementation of the financial risk appetite management framework, Follow-up and monitor breaches management.
- Collaborate with relevant internal stakeholders for the implementation of risk management framework and related standards.
- Ensure consistency of AXA Mansard’s investment policy with Group requirements.
- Provide “expert opinion” on suitable investment strategy for new products – PAP (Product Approval process) related work.
Required Skills and Competencies
- Risk Management and Corporate Governance.
- Strategic, critical and analytical thinking and pragmatic problem solving.
- Knowledge of insurance/investment products offerings (development, dependencies, features etc.) financial markets and instrument valuation.
- Knowledge of Nigeria and Global financial market.
- Strong interpersonal & team management/leadership skills.