Hà Nội (On-site)
Nghỉ trọn T7, CN
Hạn chót 17/10/2026
Đăng 20 ngày trước
Ít hơn 20 ứng viên
Educational background:
Bachelor’s or master’s degree on Finance – Banking, Insurance, Security, Investment, Economics or other related majors;
CFA, FRM is a plus.
Professional experience:
5+ years of work experience in industries related to financial services, such as banking, securities, insurance, finance, or in advisory, audit, or accounting roles
Demonstrated track record in leading complex, cross-entity risk governance initiatives.
Skills:
Proficient in computer skills, especially Excel, Power Point, Word, SharePoint and basic SQL;
Excellent communication skills in English and Vietnamese;
Deep understanding of financial conglomerate risk dynamics and governance;
Strong analytical & quantitative problem solving skills;
Self-motivated and driven to produce high quality deliverables;
High integrity, independence of thought and ability to constructively challenge senior stakeholders.
Act as a subject-matter expert and strategic advisor within the Group Risk Governance team, responsible for shaping, steering, and continuously enhancing the Group’s risk governance framework, including:
- Lead research, interpretation, and synthesis of legal requirements, published industry practices across the business sectors of assigned member companies, and international standards for material risk management. Provide strategic-level advice to senior management (CRO, BOD, BOM) and Representatives on risk governance matters.
- Lead the design, review, and optimization of the Group Risk Management Framework, including risk appetite architecture, governance structures, escalation mechanisms, and monitoring processes between the parent bank and member companies.
- Own and drive Group-wide initiatives related to risk governance transformation, framework alignment, and integration across banking, insurance, and other financial entities.
- Critically review and challenge major risk management strategies, capital and solvency-related decisions, and enterprise-wide risk initiatives proposed by subsidiaries or Group functions.
- Lead engagement with regulators, external auditors, rating agencies, and external advisors on Group risk governance matters, ensuring consistency and credibility in the Group’s risk positioning.
- Review Group risk reports to ensure clarity, depth of analysis, and relevance for decision-making by senior governance forums.
- Act as a mentor and technical coach for senior and junior team members, setting professional standards and building long-term capability within the Group Risk Governance function.
- Perform other strategic assignments as directed by the CRO, BOD, BOM, or functional leadership.
• Cấp bậc: Nhân viên (executive)Nếu bạn đang tìm kiếm vị trí Integrated Risk Management Expert - Group Risk Governance Team - Id9260 tại Hà Nội, đây là cơ hội làm việc tại VPBank với mức lương cạnh tranh và môi trường làm việc chuyên nghiệp. Ngoài tin tuyển dụng này, Upzi còn cập nhật nhiều việc làm cùng lĩnh vực và địa điểm mỗi ngày.
Thu nhập hấp dẫn, lương thưởng cạnh tranh theo năng lực
Thưởng các Ngày lễ, Tết (theo chính sách ngân hàng từng thời kỳ)
Được vay ưu đãi theo chính sách ngân hàng từng thời kỳ
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