Investing
Group Financial Risk Manager
Investing
Full time
Remote / Paris
Apply for this position:
Send resume to careers@hedonova.io
Summary
You will be responsible for setting the risk management framework and its principles, ensuring adherence to regulatory requirements and best practices. Your daily responsibilities will include running controls to monitor capital requirements and limits consumption, as well as testing the internal control system for Financial Risk activities. Staying updated with regulatory developments and promptly addressing any requests from regulators will be essential. You will also report relevant analytics to top management and the board of directors, presenting dedicated analysis to the Group Treasury and Market Risk Committees.
What you'll be doing
Qualifications and Experience
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