Manager – Risk Management Division

Job Description

Title: Manager – Risk Management Division

Company Name: A reputed Private Commercial Bank

Vacancy: --

Age: Na

Job Location: Dhaka

Salary: Negotiable

Experience:

  • At least 6 years
  • The applicants should have experience in the following business area(s): Banks


Published: 2025-11-02

Application Deadline: 2025-11-15

Education:
    • Master of Business Administration (MBA)
    • Masters
  • MBA/Master's in any discipline from reputed University with no third division in academic records.

  • Candidates having FRM, CFA or CERM will be given preference.



Requirements:
  • At least 6 years
  • The applicants should have experience in the following business area(s): Banks


Skills Required:

Additional Requirements:

Experience Requirements:

  • Minimum 6 year(s) working experience in leading commercial Bank with at least 3 (Three) years in the field of Risk Management.

Knowledge, Competencies and Skills:

  • Strong analytical, communication, and leadership skills.

  • Excellent presentation & communication skills

  • Excellent skills in MS Office, MS Excel and other data analytical tool



Responsibilities & Context:

Job Grade: up to SPO

Key Job Responsibilities:

  • Identify, assess, and monitor key risks across credit, market, operational, and liquidity areas of the bank.

  • Assist in developing, updating, and reviewing risk management policies, guidelines, and manuals

  • Develop and regularly review Management Action Triggers for effective risk monitoring.

  • Define and monitor the Bank’s risk appetite, tolerance, and limits based on sectoral, industry, and regulatory considerations

  • Prepare comprehensive risk reports for senior management and regulatory authorities.

  • Conduct Stress Testing and Duration Gap Analysis.

  • Arrange ERMC meetings, prepare minutes, and perform secretarial functions.

  • Coordinate with relevant divisions, branches, and units for risk mitigation measures.

  • Prepare reports, memos, and presentations for BRMC meetings and support their coordination.

  • Prepare risk management reports and ensuring timely submission of risk management reports, meeting minutes, compliance reports and other documents to the supervisor.

  • Prepare and submit the Risk-Based Capital Adequacy Report (Basel III) to regulatory authorities and management.

  • Ensure proper disclosure of risk-related indicators as per Pillar III of Basel III.

  • Support the Supervisory Review Process (SRP) team and prepare the Internal Capital Adequacy Assessment Process (ICAAP) report.

  • Assist in the automation and digitization of risk monitoring and reporting tools.

  • Ensure full compliance with Bangladesh Bank’s recommendations and regulatory requirements related to risk management.

  • Perform any other duties assigned by the supervisor related to risk management and compliance.

Job Location: Head Office, Dhaka



Job Other Benifits:

Employment Status: Full Time

Job Work Place: Work at office

Company Information:

Gender: Male and Female can apply

Read Before Apply: Please apply only who are fulfilling all the requirements of this job

Category: Bank/ Non-Bank Fin. Institution

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