Credit Risk Manager [Indonesia]


 

Jakarta, Jakarta, Indonesia

About Fazz Financial Group

Fazz is an ecosystem of financial services that comprise Fazz (Business account for Southeast Asia), StraitsX (Payments infrastructure for digital assets), and Modal Rakyat (Mutual cooperation funding for MSMEs) founded in 2016, as a result of a merger between PayFazz and Xfers, two Y Combinator alumni based in Southeast Asia.

Fazz provides business accounts that offer seamless payment, savings and credit functionalities, giving businesses equal opportunity to build, run, and grow. We cater to the warung and MSME in Indonesia under the brand Fazz Agen, and fast-growing startups and SMEs in Singapore and Indonesia under the brand Fazz Business.

Fazz’s mission is to make the future of finances accessible for every single business in Southeast Asia, where many MSMEs and the population are still underserved.

Head to our website to get to know us better: https://fazz.com/

About the Team

  • Head Of Risk Management will be ensuring we have all the supporting pillars of Risk is being designed and executed as plan.
    Some Key Pillars are:
    • Liquidity & Market Risk
    • Loan Origination Risk
    • Portfolio Risk
    • Credit Policy Risk
    • Credit Infrastructure Risk
  • Head of Risk Management is ensuring that all Risk related to the Enterprise position is sufficiently mitigated and accepted by key stakeholders such as:
    • Board Of Directors
    • Board of Commissioners
    • Board of Investors

About the Role

  • A Senior Executive with minimum 10 years of experience in Risk Management.
  • Able to think strategically. To possess the authority to monitor the performance of Risk Management Champions and Risk Owners.
  • Capability to summarize and interpret risk reports from different departments.
  • Able to design Risk Infrastructure in a structural Risk Register with effective layers with balance between business growth vs mitigated risk.
  • Strong Presence and can interact with Senior Management.
  • Able to push Risk Awareness to Commercial, Product, Engineering.
  • Creating the delineating framework on the Risk Function and segregating between Risk Taking and Risk Monitoring
  • Communicating The Plan of Risk Management to be both coherent and capably executed.

What you'll do

  • Establish and Communicate Risk Framework accross organization
  • Advice management on Risk Management Activities and Best Practice
  • Development monitoring framework to highlight performance of the Risk Framework
  • Monitoring our Liabilities vs Asset Position, Portfolio Concentration, Loan Origination Policy, Position towards market Risk.
  • Ensure that comprehensive and continuous risk identification is in place
  • Monitor the Top Corporate Level Risk and designing the Quadrant based on The Criticality
  • Establish and follow up the right Risk Management Tools, Methodologies and Techniques
  • Integrate Risk Management with strategic management process
  • Work with Senior Management and Relevant Business Heads to define appropriate role of Risk Management in the organization
  • Periodically review risk policies, procedures, reporting templates and framework to ensure everything is up to date.
  • Support regular reporting and assist Board / Audit Committee in decisions related to Risk Management

What we're looking for

  • Previous experience in auditing, risk assessment and finance are plus
  • Able to think strategically. To possess the authority to monitor the performance of Risk Management Champions and Risk Owners
  • Previous experience reporting to Boards or Senior Management Committees
  • Enterprise Risk Management Certified Professional (ERMCP) or Financial Risk Manager ( FRM ) certified or the equivalent
  • Minimum 10 years experience on Risk related position

Nice to haves (Optional)

  • Regional Market Capability is a Plus
  • Experience of working with internationally different entities is a Plus


 

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