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financial risk manager

Measures financial risks, tests exposure scenarios and advises on controls for investments or business decisions.

Overview

Financial risk managers identify risks that can threaten an organisation’s capital, assets or financial decisions. The work can focus on credit risk, market risk, operational risk or regulatory risk, using statistical analysis and documentation review.

In job descriptions, look for risk models, credit portfolios, market exposure, operational controls, compliance documentation, statistical analysis, recommendations to reduce risk and communication with finance or investment teams.

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