Develop and maintain risk management frameworks, policies and procedures and update as required
Evaluate the effectiveness of internal controls and take appropriate action in cases of control deficiency
Maintain risk registers, key risk indicator reporting and related documentation
Identify, manage, monitor and control risks to Fisher entities, including coordination with first line functions to implement risk control measures
Manage risk escalations to assure timely remediation and transparency to senior leadership
Create insightful risk reporting to escalate systemic risks and/or risks falling outside the level of risk tolerated by the firm
Engage first line and second line stakeholders to ensure holistic assessment of identified risks and appropriate mitigating actions
Collaborate with internal second line colleagues to evolve and strengthen the firm's approach to risk management
Support effective and transparent communications with regulators and external auditors through close partnership with Compliance and Legal staff
Report directly to the VP of Enterprise Risk Management and implement Fisher's risk strategy and enable informed decision making by senior leaders in multiple Fisher Group entities
Requirements
5+ years of experience in a risk management role within financial services and/or 5+ years of Enterprise Risk Management Consulting Experience
Relevant experience engaging directly with the Monetary Authority of Singapore or analogous regulatory bodies