Financial Risk Manager
We are working with an extremely well known, fast-paced business based in Solihull to recruit an assured Financial Risk Manager.
The successful candidate will be responsible for evaluating the financial stability of all the businesses partners and suppliers on a timely and accurate basis and ensure they are operating within the prescribed control frameworks and to mitigate exposure to the business. Based on the performance of these partners proactive actions plans need to be prepared and then delivered with different stakeholders around the business. Therefore you will proactively work with key stakeholders (Commercial, Legal and Finance teams) to drive decisions around safeguarding the business from partner related exposures, constantly challenging business practices, looking for new risks and implementing ways of mitigating these. You will also play a part and lead key strategic projects and ensure business requirements mitigate exposure to the business.
Key responsibilities include; Partner & supplier monitoring and review, commercial underwriting and bad debt migration and commercial advice.
Ideally you will be degree educated and qualified ACA/ACCA with significant post qualified experience (minimum four years). In addition, you will have exposure of corporate insolvency, corporate finance or transaction services as well having worked in financial services or another regulated environment.
There is great exposure within this role, you will be dealing with Directors from across the business and quite regularly with the senior Execs too. With great exposure comes an opportunity to progress within the large finance function and corporate business.
Package includes £60K annual salary plus a car allowance and a bonus of up to 10% bonus including healthcare and a competitive pension.