عنوان وظیفهJob title
Risk Manager
نام/شرکت/موسسهName of Company/Institute
Vision Financial Services (VFS)
توضیحات درباره شرکت/موسسهAbout Company/Institute
Vision Financial Services (VFS) is the first and only DAB authorized financial company, offering online trading services in Afghanistan. For more information, please visit our website www.vfs.af
توضیحات مختصرJob Summary
1. Develop professional and customized policies and procedures for all aspects of Risk Management to be used in the company for evaluating, controlling and mitigating of risks. 2. Provide knowledge and expertise regarding the development and implementation of Risk Management policies, strategies, standards, systems and procedures. 3. Monitor operational, marketing and liquidity risk management activities to ensure that they are properly performed and completed within the area of responsibility/authority. 4. Lead Risk team efforts in the critical development and improvement of new and existing risk tools that support the development and management of risk policies and procedures. 5. Analyze and manage the quality of the portfolio through available data and administer corrective action and protect the company from losses and delinquency resulting from lack of compliance with applicable laws, regulations and VFS policies. 6. Develop, recommend and implement loss mitigation strategies to ensure a balanced risk level is in place. 7. Ensure that the company’s risks are properly addressed in terms of compliance with the rules and regulations established by local and international regulators as well as VFS’ own rules and regulations. 8. Initiate and support process improvement activity to embed a culture of continuous upgrading. 9. Propose and promote a common risk culture and awareness to be accepted throughout the company, in particular by the company’s Commercial, Operation, Treasury and Marketing divisions. 10. Set objectives for measuring, monitoring, evaluating and optimizing the risk exposure of the company and ensure that they are reported in a timely manner to the relevant authorities in VFS. 11. Ensure that identified risks are reported and properly administered and that effective strategies are in place to restructure and reduce the company’s exposure to various risks. 12. Create accurate and timely reporting of significant and emerging risks in the various divisions of the company and provide a thorough analysis/advice to the management. 13. Other job-related duties as assigned by the management. Skills - Comprehensive knowledge of operations, and control systems as well as solid understanding of liability, operating, liquidity and market risk management methodologies. - Ability to work independently; be objective, creative, flexible and exercise independent judgment. - Ability to define problems, collect data, establish facts and suggest valid conclusions. - Excellent presentation and communication skill in local as well as English languages. - Proficient working knowledge of MS Office and other related software. - Professional, disciplined and friendly behaviour.
توضیحات کاملJob details
تاریخ ثبت:
date posted
1396-09-12 زمان آزمایش:
Probation Period
normal
تاریخ ختم:
closing date
1396-09-20 کد وظیفه:
code
VFS/VA/17057
تعداد بست:
Number of Vacancies
1 ساعت کاری:
shift
Full Time
کتگوری:
Category
عمومی جنسیت :
Gender
مرد/زن
ملیت:
Nationality
afg مقدار معاش:
Salary Range
As per company salary scale
نوع قرار داد:
Contract Type
Permanent تجربه کاری:
Years of Experience
3 Year(s)
مدت قرارداد:
Contract Duration
Permanent
وظایف و مسئولیت هاDuties and Responsibilities
1. Develop professional and customized policies and procedures for all aspects of Risk Management to be used in the company for evaluating, controlling and mitigating of risks. 2. Provide knowledge and expertise regarding the development and implementation of Risk Management policies, strategies, standards, systems and procedures. 3. Monitor operational, marketing and liquidity risk management activities to ensure that they are properly performed and completed within the area of responsibility/authority. 4. Lead Risk team efforts in the critical development and improvement of new and existing risk tools that support the development and management of risk policies and procedures. 5. Analyze and manage the quality of the portfolio through available data and administer corrective action and protect the company from losses and delinquency resulting from lack of compliance with applicable laws, regulations and VFS policies. 6. Develop, recommend and implement loss mitigation strategies to ensure a balanced risk level is in place. 7. Ensure that the company’s risks are properly addressed in terms of compliance with the rules and regulations established by local and international regulators as well as VFS’ own rules and regulations. 8. Initiate and support process improvement activity to embed a culture of continuous upgrading. 9. Propose and promote a common risk culture and awareness to be accepted throughout the company, in particular by the company’s Commercial, Operation, Treasury and Marketing divisions. 10. Set objectives for measuring, monitoring, evaluating and optimizing the risk exposure of the company and ensure that they are reported in a timely manner to the relevant authorities in VFS. 11. Ensure that identified risks are reported and properly administered and that effective strategies are in place to restructure and reduce the company’s exposure to various risks. 12. Create accurate and timely reporting of significant and emerging risks in the various divisions of the company and provide a thorough analysis/advice to the management. 13. Other job-related duties as assigned by the management. Skills - Comprehensive knowledge of operations, and control systems as well as solid understanding of liability, operating, liquidity and market risk management methodologies. - Ability to work independently; be objective, creative, flexible and exercise independent judgment. - Ability to define problems, collect data, establish facts and suggest valid conclusions. - Excellent presentation and communication skill in local as well as English languages. - Proficient working knowledge of MS Office and other related software. - Professional, disciplined and friendly behaviour.
شرایط استخدام:Qualifications
- Bachelor degree in Finance, Risk or Business Administration field, Master degree will be preferred. - 3+ years’ experience in Risk Management field with minimum 1 year at managerial level. - Comprehensive knowledge of operations, and control systems as well as solid understanding of liability, operating, liquidity and market risk management methodologies. - Ability to work independently; be objective, creative, flexible and exercise independent judgment. - Ability to define problems, collect data, establish facts and suggest valid conclusions. - Excellent presentation and communication skill in local as well as English languages. - Proficient working knowledge of MS Office and other related software. - Professional, disciplined and friendly behaviour.
موقعیت وظیفه:Job location
کابل
تحصیلات مورد نیاز:Education
Bachelor degree in Finance, Risk or Business Administration field, Master degree will be preferred
راهنمای ارسال درخواست:Submission Guideline
Interested candidates may send their application letter, resume and recent picture by e-mail to: Kindly mention the job title in the subject line of your e-mail. Only short-listed candidates will be invited for test and interview afgworkcenter@gmail,com
ایمیل آدرس:Email Address:
applications@vfs.af

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