Beranda Job Details
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Banking & Financial Services 🏢 Full Time ⭐️ Terverifikasi

Risk Management Analyst Supervisor - Financial Services Leadership Role

Erajaya
Denpasar, Bali
Salary Estimate
Rp 25.000.000 – Rp 40.000.000
Newest
Live Update
28 Juli 2026
Deadline
28 Jul 2027

job description

Join Erajaya as a Risk Management Analyst Supervisor in the heart of Bali and lead the charge in safeguarding our financial operations. This pivotal role offers the opportunity to shape enterprise risk strategies in one of Indonesia’s most dynamic financial services environments.

As a supervisor, you will oversee a team of risk analysts, ensuring robust frameworks are in place to identify, assess, and mitigate operational, financial, and strategic risks. Your expertise in Enterprise Risk Management (ERM) will drive compliance, efficiency, and resilience across our organization. Based in Denpasar, you’ll collaborate with cross-functional teams to align risk appetite with business objectives, fostering a culture of proactive risk awareness.

This is a full-time leadership position for a seasoned professional passionate about risk intelligence, regulatory adherence, and continuous improvement in a fast-paced financial ecosystem.

Responsibility

  • Lead and mentor a team of risk analysts to ensure accurate risk identification, assessment, and reporting.
  • Develop and implement Enterprise Risk Management (ERM) frameworks tailored to financial services.
  • Monitor and evaluate operational, financial, and compliance risks, proposing mitigation strategies.
  • Collaborate with senior management to align risk policies with business goals and regulatory requirements.
  • Conduct regular risk audits and present findings to stakeholders with actionable recommendations.
  • Oversee the design and maintenance of risk registers, dashboards, and early warning systems.
  • Ensure adherence to local and international financial regulations (e.g., OJK, Basel III).
  • Drive risk awareness training and workshops for employees across departments.

Qualifications

  • Bachelor’s degree in Finance, Economics, Risk Management, or related fields; Master’s or professional certification (e.g., FRM, PRM, CFA) is a plus.
  • Minimum 5 years of experience in risk management, with at least 2 years in a supervisory role within financial services or banking.
  • Deep understanding of ERM principles, Basel frameworks, and operational risk methodologies.
  • Proven ability to analyze complex financial data and derive actionable insights.
  • Strong leadership skills with experience managing and developing high-performing teams.
  • Excellent communication and stakeholder management abilities.
  • Proficiency in risk management software (e.g., SAS, Moody’s Analytics, or similar tools).
  • Fluency in English and Indonesian; familiarity with local regulatory environments is advantageous.

Required Skills

Enterprise Risk Management Financial Risk Analysis Operational Risk Compliance Regulatory Frameworks Basel III OJK Risk Auditing Stakeholder Management Team Leadership Data Analysis Risk Mitigation Strategies

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