Head, Risk Management at Zedvance Finance Limited - Zedcrest Group

Posted on Wed 23rd Nov, 2022 - www.hotnigerianjobs.com --- (0 comments)

Zedvance Finance Limited is a new age, goal-driven financial services Group, with 3 subsidiaries (consumer lending, fund management and securities trading) regulated by the Central Bank of Nigeria and the Securities and Exchange Commission. We are also a Venture Capital Firm with investments in about 50 tech start-ups. If you are a vibrant commercial lawyer interested in working on impactful projects, this role was created for you.

We are recruiting to fill the position below:

Job Title: Head, Risk Management

Location: Victoria Island, Lagos
Work Mode: Hybrid

Job Summary

  • The Risk Manager manages the organization's risk policies and procedures.
  • To offer hands-on risk model building for the market, credit, and operational risk; ensures that controls are working properly.
  • S/he supports research and analysis and applies strong mathematical and analytical skills to a number of business processes.

Responsibilities

  • Develop & implement relevant risk management processes.
  • Oversee, manage & direct the entire credit management process from credit policy design to credit risk underwriting, collections, and recovery.
  • Update the credit policy guide when the need arises and consider appropriate recommendations to ensure sustainable growth.
  • Document credit risk management policies, procedures, and communicate to staff members.
  • Resolve risk management issues that may arise during the business.
  • Provide support, enlightenment, and training to build risk awareness within the organization.
  • Ensure strict compliance with approved risk management policies (Internal & External)
  • Champion risk reporting in an appropriate way for relevant audiences.
  • Champion Basel Implementation, Stress Testing, Capital Adequacy ratio computation, etc.
  • Conduct risk assessment which involves analyzing risks as well as identifying, describing, and estimating risks affecting the business.
  • Provide Leadership to all members of the Risk Management Group.

Requirements

  • Candidates should possess a Bachelor's (or Masters) Degree in Finance, Risk, Business Administration, or related fields.
  • 6-10 years’ quality experience in a relevant role within Risk Management.
  • Experience in the financial services/banking sector.
  • Consumer finance industry experience would be an added advantage.

Application Closing Date
11th December, 2022.

How to Apply
Interested and qualified candidates should:
Click here to apply online