Enterprise Risk Manager

1 semana atrás


Brasil beBeeRiskManagement Tempo inteiro

Risk Manager Job Summary This is a senior-level Risk Management position responsible for overseeing and implementing enterprise-wide risk management frameworks. The ideal candidate will have extensive experience in financial or prudential risk management, preferably within banks, fintechs, or crypto/virtual asset firms. Key Responsibilities: Develop, implement, and maintain comprehensive risk management frameworks covering credit, market, liquidity, operational, and technology risks across the organization. Conduct thorough risk assessments, including stress testing, scenario analysis, capital adequacy evaluations, and other regulatory-mandated reviews. Prepare, validate, and support all regulatory disclosures required of financial institutions and virtual asset service providers (VASPs), ensuring accuracy and timely submission. Margin-Account Risk Oversight: Lead the governance and oversight of margin-account operations, including establishing risk policies for margin lending and virtual asset collateral. Define and periodically review maximum LTV ratios and haircut methodologies. Monitor collateral valuation, capital add-ons, and counterparty exposures. Ensure adherence to client and institutional exposure limits, capital buffers, and net-worth thresholds. Continuously monitor key risk indicators (KRIs) across business functions, escalating breaches or deviations to senior management and the Board with clear remediation plans. Operate as an independent second-line function, maintaining objectivity from commercial and trading activities while collaborating closely with Compliance, Finance, Operations, and Technology. Engage with internal/external auditors, regulatory bodies, and governance committees on matters related to risk management, capital adequacy, and prudential standards. Promote a strong risk-aware culture by supporting ongoing training, communication, and enhancements to risk methodologies, models, and documentation. Requirements: Must be legally residing in Brazil. Minimum 7 years of senior-level experience in financial or prudential risk management, preferably within banks, fintechs, or crypto/virtual asset firms. Demonstrated independence from commercial functions and proven capability operating as a second-line or independent control function. Strong command of Central Bank of Brazil risk regulations, prudential rules, capital adequacy requirements, and VASP reporting obligations. Expertise in market and liquidity risk frameworks, stress testing, scenario modeling, and margin-account governance involving virtual assets. Bachelor's degree in Finance, Economics, Risk Management, or a related field; postgraduate qualifications are strongly preferred. Exceptional analytical skills, strong quantitative capabilities, excellent communication, and full professional fluency in Portuguese and English. What We Offer: The successful candidate will enjoy a challenging and rewarding role that offers opportunities for growth and development. They will be part of a dynamic team that values innovation, collaboration, and excellence.


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