Financial Risk Manager

Details of the offer

Do you want a role as a proactive Financial Risk Manager, where you can identify, analyze, and mitigate financial risks across all aspects of our operations?
Are you ready to ensure compliance with legal regulations and internal controls while providing comprehensive risk assessments and strategies to safeguard the company's financial health?
Would you enjoy overseeing foreign exchange activities, ensuring smooth treasury operations, and collaborating closely with senior leadership, the treasury team, and external stakeholders?
Company Overview: DP International Finance Limited, established in 2006, is a reputable foreign exchange company with a proven track record in providing secure and efficient currency exchange services.
Backed by property assets and secured through lawyer trust bank records, we offer a globally connected system ensuring the highest levels of security and trust for our clients.
Our operations span multiple branches across Auckland, providing access to competitive exchange rates with no fees.
As we continue to expand, we are looking for an experienced Financial Risk Manager to join our team.
Job Description: The Financial Risk Manager will take a proactive role in identifying, analyzing, and mitigating financial risks across all areas of our operations.
You will ensure our company's financial systems are compliant with legal regulations and internal controls while also providing comprehensive risk assessments and strategies to safeguard the company's financial health.
Given the nature of our business, your focus will extend to overseeing foreign exchange activities and ensuring smooth treasury operations.
You will collaborate closely with senior leadership, the treasury team, and external stakeholders.
Key Responsibilities: Risk Identification and Analysis: Conduct thorough risk assessments of the company's financial operations, including foreign exchange activities, liquidity management, and cash flow.
Identify financial risks related to exchange rate volatility, transaction discrepancies, operational inefficiencies, and external market conditions.
Evaluate the effectiveness of existing risk management frameworks and propose necessary enhancements to mitigate financial risks.
Treasury Oversight and Cash Flow Management: Oversee the company's treasury systems and processes, ensuring accurate cash flow management, liquidity optimization, and currency exposure management.
Develop, review, and implement treasury policies to manage financial risks effectively.
Ensure the company maintains adequate cash reserves and access to liquidity to support both day-to-day operations and long-term strategic objectives.
Financial Compliance and Governance: Advise senior leadership and the board on compliance with relevant financial legislation, stock exchange listing rules, and corporate governance practices.
Ensure all regulatory filings, audits, and financial reporting requirements are met in accordance with local and international standards.
Prepare and present risk management reports, ensuring transparency in financial decision-making processes.
Audit and Internal Controls: Lead internal audits to evaluate the company's financial standing, internal controls, and compliance with company policies.
Develop and implement new audit methodologies to identify gaps in financial processes and improve operational efficiency.
Ensure the existence and effectiveness of internal controls to safeguard company assets and maintain accurate financial reporting.
Shareholder and Board Relations: Assist in organizing and attending board meetings, preparing detailed financial risk reports and advising directors and shareholders on the company's financial performance and risk profile.
Manage share capital, including documentation for share issuance, transfers, and compliance with corporate governance.
Budgeting and Financial Reporting: Work with senior leadership to establish and re-organize budgetary controls and financial forecasting models.
Provide detailed reports on cost structures, trading effectiveness, and financial performance to ensure that business objectives are met efficiently.
Analyze and report on financial metrics related to operational processes and policies, identifying areas for cost savings and improved profitability.
Equity, Debt, and Securities Management: Assist with managing the company's equity and debt portfolios, ensuring that all financial instruments are optimized for risk and return.
Work closely with external financial institutions and legal advisors to manage financial securities and taxation planning.
Risk Mitigation Strategies: Develop strategies to mitigate financial risks associated with currency exchange, regulatory changes, and global market fluctuations.
Stay updated on macroeconomic trends and changes in financial regulations that may affect business operations.
Implement hedging strategies, if necessary, to minimize foreign exchange risks and ensure operational stability.
Continuous Improvement and Innovation: Foster a culture of continuous improvement in financial practices, introducing innovations and best practices in financial risk management.
Implement and maintain advanced financial systems and software solutions to ensure real-time risk monitoring and financial control.
Requirements: At least 5 years of experience in financial risk management, preferably within the financial services or foreign exchange sectors.
Strong expertise in treasury operations, risk management frameworks, and financial compliance.
Solid understanding of foreign exchange operations, global market trends, and risk mitigation strategies.
Experience conducting financial audits, preparing detailed reports, and presenting findings to senior leadership and board members.
Knowledge of equity and debt management, as well as taxation and financial securities planning.
Degree in Finance, Accounting, or a related field; professional certifications such as CFA, CPA, or FRM are highly advantageous.
Strong analytical, problem-solving, and communication skills.
Why Join Us?
At Dongping Foreign Exchange, we offer a unique opportunity to play a pivotal role in shaping the financial health of a reputable and growing business.
If you are passionate about financial risk management and want to be part of a company that values expertise, integrity, and customer satisfaction, we invite you to apply.

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Nominal Salary: To be agreed

Source: Jobleads

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