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Measures financial risks, tests exposure scenarios and advises on controls for investments or business decisions.
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.
Financial risk manager work usually sits close to lending, investment, treasury or compliance decisions. The role turns portfolio data, market movements, incidents and regulatory documents into risk assessments that managers can act on before losses grow.
Useful strengths include statistical analysis, credit risk review, market exposure analysis, operational control mapping and clear written recommendations. Some financial risk manager roles specialise in bank portfolios, while others focus on investment products, internal processes or regulatory reporting.
Salary context depends on the risk area, decision authority and financial exposure connected to the role. A financial risk manager advising on large portfolios or regulatory controls is different from a narrower analyst role preparing risk data for review.
Experience can lead toward senior risk management, credit policy, market risk, operational risk, compliance leadership or investment governance. Strong work with models, documentation and committee communication helps movement into roles with broader financial accountability.
Read adverts for the risk type. A financial risk manager job may mean credit scoring, market stress testing, operational loss tracking or regulatory documentation, so check the data sources, approval powers and reporting audience.
This guide is editorial career context. It is not official labour-market statistics or role-specific salary data.
This occupation may occur in several kinds of economic activity. Here are some examples and other occupations that may be found in the same areas.
This is one example. Other occupations in this activity include investor relations manager and corporate risk manager.
Explore this activityThese examples offer an overview but do not show every economic activity where the occupation may occur.
The selection is based on how occupations are connected to economic activities in ESCO and NACE. Only a few examples are shown to make the information easier to use. The occupations were selected because they are close in occupation area and important skills. The examples are not a ranking. They do not show where most people work, where demand is highest, or which occupation is best suited to a particular person.
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See occupations connected to this ESCO occupation in the official O*NET–ESCO mapping. The relationship type comes from the source and is not a ranking or recommendation.
O*NET relationships: 1
13-2054.00
Exact relationship
The official mapping treats the O*NET and ESCO occupations as closely equivalent.
Open in O*NETThese relationships come from the official European Commission O*NET–ESCO crosswalk.
Relationship direction: O*NET occupation to ESCO occupation.
Several O*NET occupations can point to the same ESCO occupation, and one O*NET occupation can point to several ESCO occupations.
AltoTrail preserves the source relationship type. The order is technical and does not show which occupation is best, most relevant or recommended.
AltoTrail validates and presents the source relationships without adding ranking or recommendation semantics.
Economic activities linked to this occupation.
70.1Activities of head officesFinancial and investment advisers (2412)
| ESCO URI | http://data.europa.eu/esco/occupation/7a6ca615-a2bc-499d-8288-d186ce2594ea |
|---|---|
| ESCO code | 2412.5 |
| ISCO group | 2412 |
| Concept type | Occupation |