Develop Enterprise Risk Management Framework, Policy, Procedures and all relevant documents to ensure the Company operates within the OJK requirements and risk policies.
Identify gaps in the implementation against regulations, standardized methodology and/ or best practice and plan for practicable improvements.
Drive an effective implementation of Enterprise Risk Management, across the Company, in line with Group and Regulatory Governance Framework principle and Policy.
Manage risk management programs for multiple domain, i.e. multi finance, P2P Lending, and insurance broker.
Lead the risk reporting preparation to ensure delivery of accurate, timely, and good quality reports, as required by Group and Regulator.
Communicate findings and insights to various stakeholders, including senior management and related departments for timely risk mitigation.
Qualifications
A minimum of bachelor’s degree in Finance/Accounting or another relevant degree, from a reputable university
Minimum of 5 years of experience in Operational or Enterprise Risk Management implementation and its regulations in a prominent multi-finance or other financial service companies
Self-driven and motivated to enrich their risk management professional portfolio in a leading technology company
Hands on, detailed, and analytical, with strong communication skill
Having a relevant risk management certification is preferred
Have a strong knowledge on 2-3 financial products and/or services, the relevant regulations and risk management framework, Basel & stress testing