The Risk Manager will be responsible for working with other practice colleagues and our various clients across various sectors, to diagnose their risk management architecture, structures and activities, and design and implement appropriate best practice risk management frameworks and other solutions to enable them optimize their operations, earnings and overall performance. This will also include delivering on risk management capacity building, and risk management software advisory.



  • A Bachelor’s degree in the business sciences – Finance, Insurance, Banking, Risk Management with a 2:1 or first class from a top-tier university
  • Must have a second degree or professional qualification (MBA, ACCA, CFA, etc)
  • A Risk Management Certification or similar Risk Trainings is required
  • Must have extensive business development experience, especially at executive levels
  • Must have a history of out-performing set business development targets.
  • Must have Implemented Governance Risk & Compliance projects
  • Must have a minimum of 15 years experience in Risk Management from a best-practice institution.
  • Should have a sound knowledge of Risk Management across several sectors - Energy, Banking, Capital Markets, Insurance, etc.
  • Global exposure is important.
  • Excellent self-presentation
  • Strong communication and presentation skills