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Banking & Financial Services 🏢 Full Time ⭐️ Terverifikasi

Senior Risk Management Analyst Supervisor - Financial Services

Erajaya
Badung, Bali
Salary Estimate
Rp 25.000.000 – Rp 40.000.000
Newest
Live Update
1 Agustus 2026
Deadline
1 Agu 2027

job description

Join Erajaya as a Senior Risk Management Analyst Supervisor in the heart of Bali’s dynamic financial sector. This leadership role offers a unique opportunity to oversee enterprise risk management (ERM) frameworks, ensuring robust mitigation of operational, financial, and strategic risks across our financial services operations.

Based in Badung, you’ll collaborate with cross-functional teams to align risk appetite with business objectives, driving compliance with local and international regulations. Your expertise will shape risk-aware decision-making, fostering a culture of resilience and innovation in a fast-paced, high-impact environment.

Ideal for seasoned professionals with a passion for risk intelligence, this position combines strategic oversight with hands-on analysis, offering competitive compensation and career growth in one of Indonesia’s most vibrant economic hubs.

Responsibility

  • Lead the development, implementation, and monitoring of Enterprise Risk Management (ERM) frameworks in alignment with industry best practices.
  • Identify, assess, and prioritize operational, financial, and strategic risks, proposing actionable mitigation strategies.
  • Oversee risk reporting and dashboards, ensuring timely and accurate communication to senior management and stakeholders.
  • Collaborate with finance, compliance, and audit teams to ensure adherence to regulatory requirements (e.g., OJK, Basel III).
  • Conduct risk appetite assessments and stress testing to evaluate potential impacts on business continuity.
  • Mentor and train junior analysts, fostering a culture of risk awareness and continuous improvement.
  • Drive fraud prevention and anti-money laundering (AML) initiatives through proactive risk detection and control measures.
  • Participate in strategic planning sessions to integrate risk considerations into business growth initiatives.

Qualifications

  • Bachelor’s or Master’s degree in Finance, Economics, Risk Management, or related fields; professional certifications (e.g., FRM, PRM, CFA) are a plus.
  • Minimum 5+ years of experience in risk management within banking, financial services, or fintech, with at least 2 years in a supervisory role.
  • Deep understanding of ERM principles, Basel Accords, and local financial regulations (OJK, BI).
  • Proven expertise in quantitative risk analysis, including modeling, scenario analysis, and stress testing.
  • Strong leadership and stakeholder management skills, with the ability to influence decision-making at executive levels.
  • Proficiency in risk management software (e.g., SAS, Moody’s Analytics, RiskMetrics) and advanced Excel.
  • Excellent English and Indonesian communication skills, with a track record of clear, concise reporting.
  • Analytical mindset with a proactive approach to problem-solving and process optimization.

Required Skills

Enterprise Risk Management Financial Risk Analysis Operational Risk Regulatory Compliance OJK Basel III Fraud Prevention AML Risk Modeling Stakeholder Management SAS Moody’s Analytics Leadership

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