Contributes in identifying vision, mission and corporate strategy by providing strategic input from an Assurance & Governance perspective
Build awareness over Assurance & Governance across the entire organization by running awareness programs and related materials.
Works and provides advice to the management in setting their department strategy, identify department related risks and mitigation plans.
Leads the implementation of the Assurance & Governance strategy within the department and across the entire organisation. At the end of every strategy cycle, assesses the risk maturity model across using Risk Maturity Ladder and produces subsequent three year strategy. Establishes and implements Assurance & Governance processes, procedures and policies required to support the growth of the business.
Develops the risk management framework by developing the risk management policies and risk models in order to assist the businesses in meeting their return parameters and the risk framework and models will cover investment (public market, private market - both pre-investment and post-investment and operational risks).
Prepares and submits for approval the Risk Policy, Risk Appetite, risk definitions, risk taxonomy and risk philosophy.
Presents to the Board and the Audit Committee as and when required or when submitting new risk policy and procedures.
15 - 20 years in a similar role with fund, bank or corporate
Execellent post graduate academics from leading international University
English fluency with Arabic an advantage.
If you match the above requirements please send your CV to firstname.lastname@example.org. Please note only shortlisted candidates will be contacted.