Duties:
- Document and ensure communication of key risks
- Maintain input or date quality or risk management system
- Recommend ways to control and reduce risk
- Identify key risks and mitigating factors for potential investments such as asset types and values, legal ownership structures, professional reputations, customer bases, or industry segments
- Devise systems and processes to monitor validity or risk modeling outputs
Requirements:
- Bachelor’s Degree in Finance plus at least five months of experience.
Salary:
- $48,069.00 /year
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