Risk Manager
(Κωδ. Θέσης: RMK_3.2026)
A growing financial services organization operating in the loan servicing and credit management sector, regulated by the Bank of Greece, is seeking a Risk Manager to strengthen its risk management and corporate governance framework.
The organization invests consistently in the professional development of its people, offering a structured and collaborative working environment where employees are actively involved in meaningful business activities and work alongside experienced professionals within the financial services sector.
In this role, the successful candidate will support Management in identifying, assessing and monitoring risks associated with loan portfolio servicing activities, ensuring the effective implementation of risk management processes and alignment with the applicable regulatory framework.
Role Description
The Risk Manager will be responsible for developing, implementing and monitoring the company’s Risk Management framework, contributing to the effective identification and management of operational, regulatory and business risks.
The position involves close collaboration with Management as well as with Legal, Compliance and Operational teams, supporting the organization in strengthening governance practices and maintaining compliance with the regulatory environment applicable to loan servicing companies.
Key Responsibilities
- Develop and maintain the company’s Risk Management framework.
- Maintain and periodically update the Risk Register and conduct regular risk assessments.
- Identify and monitor operational, compliance and portfolio-related risks associated with loan servicing activities.
- Monitor and analyze Key Risk Indicators (KRIs) and prepare risk reports for Management.
- Support regulatory compliance initiatives in collaboration with Legal and Compliance functions.
- Oversee and assess risks related to third-party vendors and external service providers.
- Participate in the design, implementation and testing of Business Continuity and Disaster Recovery plans (BCP/DR).
- Support internal and external audit processes as well as due diligence reviews.
- Promote a risk-aware culture through internal procedures, guidelines and training initiatives.
Qualifications
- Bachelor’s degree in Finance, Economics, Business Administration or a related field.
- Previous experience in Risk Management, Operational Risk or a similar role within the financial services sector.
- Experience or familiarity with loan servicing, NPL portfolios or credit management activities will be considered an asset.
- Understanding of Risk Management and regulatory compliance frameworks.
- Strong analytical and reporting skills.
- Ability to manage multiple priorities in a structured and professional manner.
- Fluency in English.
What the Company Offers
- Structured and stable working environment within the financial services sector.
- Opportunity to contribute to corporate governance and risk management processes.
- Long-term career development prospects.
- Competitive remuneration package based on qualifications and experience.
- Discreet and strictly confidential recruitment process.
If you are interested in joining a structured and dynamically growing organization in the financial services sector, with a strong focus on transparency, sound corporate governance and the professional development of its people, then this position represents an excellent career opportunity.
The selection process is conducted in accordance with the principles of equal treatment and respect for diversity.
All applications will be treated with the strictest confidentiality.