More jobs:
Manager, Financial Risk Management
Job in
Riyadh, Riyadh Region, Saudi Arabia
Listed on 2026-06-02
Listing for:
Ceer
Full Time
position Listed on 2026-06-02
Job specializations:
-
Finance & Banking
Risk Manager/Analyst, Financial Compliance -
Management
Risk Manager/Analyst
Job Description & How to Apply Below
Key Functional Responsibilities
- Determine and evaluate financial risks including market risks with focus on foreign exchange, commodity price and rate risks, credit risk and assess the impact of these risks on CEER's financial performance.
- Monitor and analyze market trends, economic indicators, interest rates, currency movements and commodity price changes that may impact CEER's financial performance.
- Develop and implement strategies to mitigate exposure to market risks including interest rate risk, foreign exchange risk and commodity price risk, and develop, implement and maintain the related internal policies and procedures.
- Develop, implement and maintain the related internal policies and procedures to manage exposure to credit‑related losses and counter party risks.
- Develop, maintain and enhance financial risk models to quantify, monitor and analyze risk exposures.
- Ensure compliance with applicable financial regulations, internal policies and industry risk‑management standards.
- Promote a risk‑aware culture within CEER through guidance, communication and collaboration with stakeholders.
- Collaborate with colleagues across the Finance division and other divisions to align risk‑management activities with corporate objectives and financial strategies.
- Achieve the assigned objectives through the setting of individual objectives, managing performance and developing and motivating staff.
- Participate in the development of the section’s business plans according to the department objectives.
- Ensure the effective implementation of policies, procedures and controls covering all areas of assigned activities.
- Prepare the budget required from the section and monitor financial performance versus the budget while ensuring unit activities are conducted in line with the approved guidelines.
- Manage the identification of opportunities for continuous improvement and sustainability of systems, processes and practices considering leading standards, productivity improvement and cost reduction.
- Ensure that all section reports are prepared timely and accurately and meet CEER’s requirements, policies and quality standards.
- Ensure non‑disclosure of confidential information within or outside CEER.
- Ensure adherence to the Health, Safety, Security, Environment (HSE) policies and standards across all business functions under the department.
This role is responsible for evaluating, managing, and mitigating financial risks, including market risks with focus on foreign exchange, commodity price and rate risks and credit risk. The Manager, Financial Risk Management ensures alignment with CEER’s financial performance objectives, risk appetite, and regulatory requirements while supporting sustainable financial stability.
Job RequirementsEducation:
Bachelor's degree in finance, Accounting or equivalent.
Experience:
6 years minimum, 2 years in a leadership role.
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