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  • Posted: Mar 20, 2026
    Deadline: Not specified
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  • Bellforte Consulting - We are a strategic consulting firm integrating a full range of business consulting capabilities. Bellforte Consulting staff, faculty and partners are tested professionals with deep "sector-specific" knowledge and the ability to lead and drive industry agenda. This ensures that our consulting services address the specific n...
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    Head, Risk Management

    Key Responsibilities

    Enterprise Risk Management (ERM) Framework

    • Develop and implement a comprehensive ERM framework aligned with regulatory expectations and international standards (e.g., ISO 31000)
    • Establish risk appetite, tolerance levels, and risk policies
    • Embed a strong risk culture across the organization

     Investment Risk Oversight

    • Monitor risks associated with client portfolios, including:
      • Market risk (interest rate, equity, FX volatility)
      • Credit risk (issuer default, counterparty exposure)
      • Liquidity risk (especially in fixed income and alternative assets)
    • Work closely with portfolio managers to ensure risk-adjusted returns
    • Conduct stress testing and scenario analysis relevant to Nigeria’s economic conditions

     Operational Risk Management

    • Identify and mitigate operational risks across processes, systems, and people
    • Monitor key risk indicators (KRIs) and loss events
    • Ensure robust internal controls across investment, trading, and client operations

     Regulatory Compliance & Reporting

    • Ensure compliance with risk-related guidelines from:
      • Securities and Exchange Commission Nigeria
      • Central Bank of Nigeria
    • Prepare and submit risk reports to regulators and senior management
    • Support regulatory examinations and audits

    Credit & Counterparty Risk Management

    • Evaluate creditworthiness of issuers (e.g., corporate bonds, commercial papers)
    • Set and monitor counterparty exposure limits
    • Conduct due diligence on investment opportunities

     Liquidity & Market Risk Management

    • Monitor liquidity positions across portfolios
    • Develop strategies to manage redemption pressures
    • Assess macroeconomic risks including inflation, exchange rate volatility, and interest rate changes

     Risk Analytics & Reporting

    • Develop dashboards and reporting tools for real-time risk monitoring
    • Provide insights to management and the Board Risk Committee
    • Track and report on risk exposures, breaches, and mitigation actions

     Business Continuity & Crisis Management

    • Support development of Business Continuity Plans (BCP) and Disaster Recovery (DR) frameworks
    • Lead risk response during financial or operational crises

     Governance & Stakeholder Engagement

    • Advise senior management and the Board on risk issues
    • Collaborate with Internal Audit, Compliance, and Investment teams
    • Ensure independence of the risk management function

     Team Leadership

    • Lead and develop the risk management team
    • Build capacity in quantitative and qualitative risk analysis
    • Promote a proactive risk-aware culture

    Key Performance Indicators (KPIs)

    • Number and severity of risk breaches
    • Portfolio risk-adjusted performance (e.g., Sharpe ratio)
    • Compliance with regulatory requirements
    • Timeliness and accuracy of risk reports
    • Effectiveness of risk mitigation strategies
    • Audit and regulatory review outcomes

    Qualifications

    Educational Qualifications

    • Bachelor’s degree in Finance, Economics, Mathematics, Statistics, or related field
    • Master’s degree (MBA, Finance, Risk Management) – preferred

    Professional Certifications (Highly Desirable)

    • Financial Risk Manager (FRM)
    • Professional Risk Manager (PRM)
    • Chartered Financial Analyst (CFA)
    • ACCA / ICAN (for strong financial control background)

    Experience

    • 10–15+ years of experience in:
      • Risk management
      • Asset management
      • Investment banking or financial services
    • At least 5 years in a senior or leadership role
    • Strong experience in Nigerian financial markets and regulatory environment

    Technical Competencies

    • Deep understanding of:
      • Fixed income securities (FGN bonds, treasury bills)
      • Equities market (via NGX)
      • Alternative investments
    • Strong knowledge of:
      • Risk modeling and analytics (VaR, stress testing)
      • Portfolio risk management tools
      • Regulatory requirements of Securities and Exchange Commission Nigeria
    • Understanding of:
      • Nigeria Data Protection Act (data risk implications)

    Core Skills

    • Strong analytical and quantitative skills
    • Strategic thinking and risk-based decision-making
    • Excellent communication and reporting skills
    • Stakeholder management and influence
    • High attention to detail

    Personal Attributes

    • High integrity and independence
    • Strong judgment and objectivity
    • Proactive and solution-oriented mindset
    • Ability to operate under pressure

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    Method of Application

    Interested and qualified? Go to Bellforte Consulting on jobs.smartrecruiters.com to apply

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