Maaş göstərilməyib
Vakansiya haqqında
- Develop and apply risk identification, assessment, and monitoring methodologies across the company's operational and market risk areas;
- Analyze business processes within structural units to detect potential risk exposures and propose mitigation measures;
- Participate in the design, testing, and continuous improvement of internal risk control mechanisms;
- Collect, consolidate, and analyze key risk indicator (KRI) data on a regular basis, preparing periodic and ad hoc risk reports for management;
- Assess risks associated with new products, services, and business initiatives prior to their launch, and provide recommendations to relevant stakeholders;
- Support the development and maintenance of the company's risk map, Risk Appetite Statement, and related risk documentation;
- Track risk limits and thresholds, escalating breaches or emerging risk trends to management in a timely manner;
- Monitor market risk exposures related to positions and transactions on local and international exchanges, in line with recognized global exchange rules and market conduct standards;
- Ensure the company's risk management practices comply with the requirements of the Central Bank of Azerbaijan, the Financial Market Supervisory Authority (FIMSA), and other applicable Azerbaijani legislation and regulatory acts;
- Monitor changes in local legislation, regulatory acts, and international risk management standards (e.g., Basel principles, IOSCO recommendations), and ensure timely implementation of relevant requirements within the company;
- Contribute to building risk awareness and a strong risk culture across the organization through training and internal communication initiatives;
- Ensure ongoing compliance monitoring of structural units against the company's Risk Management policy and procedures, as well as regulatory requirements;
- Coordinate with relevant departments to investigate and resolve identified risk issues, incidents, or control gaps;
- Participate in periodic reviews and updates of risk management policies, procedures, and internal instructions in accordance with changes in legislation;
- Report promptly on any incidents, irregularities, or emerging risks observed during daily operations;
- Support the achievement of the department's semi-annual and annual risk management objectives.
Xüsusi tələblər
- A bachelor's degree in Finance, Risk Management or Economics is desirable
- At least 2 years of relevant experience in risk management, internal audit, compliance, or a related area (banking/financial sector experience preferred); Knowledge of English (min intermediate level) is desirable
- FRM, CFA certification is desirable
- Advanced proficiency in MS Office, MS Visio, or equivalent alternatives.
- Strong communication skills, strong analytical skills, problem-solving skills, strong organizational skills
- Solid knowledge of risk identification, assessment, and management methodologies
- Understanding of local and international risk management standards and best practices (e.g., Basel principles, COSO ERM, ISO 31000);
- Develop and apply risk identification, assessment, and monitoring methodologies across the company's operational and market risk areas;
- Analyze business processes within structural units to detect potential risk exposures and propose mitigation measures;
- Participate in the design, testing, and continuous improvement of internal risk control mechanisms;
- Collect, consolidate, and analyze key risk indicator (KRI) data on a regular basis, preparing periodic and ad hoc risk reports for management;
- Assess risks associated with new products, services, and business initiatives prior to their launch, and provide recommendations to relevant stakeholders;
- Support the development and maintenance of the company's risk map, Risk Appetite Statement, and related risk documentation;
- Track risk limits and thresholds, escalating breaches or emerging risk trends to management in a timely manner;
- Monitor market risk exposures related to positions and transactions on local and international exchanges, in line with recognized global exchange rules and market conduct standards;
- Ensure the company's risk management practices comply with the requirements of the Central Bank of Azerbaijan, the Financial Market Supervisory Authority (FIMSA), and other applicable Azerbaijani legislation and regulatory acts;
- Monitor changes in local legislation, regulatory acts, and international risk management standards (e.g., Basel principles, IOSCO recommendations), and ensure timely implementation of relevant requirements within the company;
- Contribute to building risk awareness and a strong risk culture across the organization through training and internal communication initiatives;
- Ensure ongoing compliance monitoring of structural units against the company's Risk Management policy and procedures, as well as regulatory requirements;
- Coordinate with relevant departments to investigate and resolve identified risk issues, incidents, or control gaps;
- Participate in periodic reviews and updates of risk management policies, procedures, and internal instructions in accordance with changes in legislation;
- Report promptly on any incidents, irregularities, or emerging risks observed during daily operations;
- Support the achievement of the department's semi-annual and annual risk management objectives.
Xüsusi tələblər
- A bachelor's degree in Finance, Risk Management or Economics is desirable
- At least 2 years of relevant experience in risk management, internal audit, compliance, or a related area (banking/financial sector experience preferred); Knowledge of English (min intermediate level) is desirable
- FRM, CFA certification is desirable
- Advanced proficiency in MS Office, MS Visio, or equivalent alternatives.
- Strong communication skills, strong analytical skills, problem-solving skills, strong organizational skills
- Solid knowledge of risk identification, assessment, and management methodologies
- Understanding of local and international risk management standards and best practices (e.g., Basel principles, COSO ERM, ISO 31000);
Yerləşmə
Bakı
Məşğulluq
Tam ştat
Əməkhaqqı
Göstərilməyib
Yerləşdirilib
10 avqust 2026
Dillər
Azerbaijani, English
Şirkət haqqında
Bakı Fond Birjası
Maliyyə və sığorta fəaliyyəti, Kapital bazarları · Bakı
27 avqust 1997-ci il Bakı Fond Birjası Səhmdar Cəmiyyətinin yaradılması tarixidir. 25 oktyabr 1999-cu ildə birja Bakı Fond Birjası Qapalı Səhmdar Cəmiyyəti olaraq yenidən formalaşmışdır.
Bakı Fond Birjası — bütün vakansiyalarBacarıqlar və texnologiyalar
Müraciətin
Bacarıqlara görə oxşar
Bütün oxşar vakansiyalarBu vakansiyanın bacarıqları ilə ən çox üst-üstə düşən vakansiyalar.
Maaş göstərilməyib
Daxili audit aparır, riskləri və maliyyə hesabatlarını təhlil etmək bacarığı tələb olunur
Maaş göstərilməyib
Maliyyə risklərinin idarə edilməsini təşkil edir və risklərin qiymətləndirilməsi bacarığı tələb olunur.
Maaş göstərilməyib7 gün qalıb
Risklərin idarə olunması sistemini qurur, qiymətləndirir və komanda rəhbərliyi edir.
Müraciət etAsan müraciətAsan müraciət




