Head of Risk Management (Securities)

South Jakarta Permanent View Job Description
As Head of Risk Management, you will lead the development and execution of enterprise-wide risk frameworks, ensuring robust governance across market, credit, operational, and ESG-related risks. You will work closely with senior management to embed a proactive risk culture and support sustainable business growth.
  • A dynamic and forward-thinking financial institution.
  • Career growth

About Our Client

This organisation is a leading player in the financial services industry, and part of a well-established regional financial group with a strong presence in Southeast Asia.

Job Description

As a Head of Risk Management, your main responsibilities will include:

  • Developing and implementing risk management frameworks and policies.
  • Monitoring and analysing potential risks to the organisation's operations and objectives.
  • Collaborating with various departments to ensure compliance with regulatory requirements.
  • Providing expert advice on risk-related matters to senior leadership.
  • Overseeing the preparation of risk assessment reports for internal and external stakeholders.
  • Leading the identification and mitigation of emerging risks in the financial services sector.
  • Ensuring the organisation adheres to industry standards and best practices in risk management.
  • Managing a team of risk professionals to achieve departmental goals effectively.

The Successful Applicant

A successful Head of Risk Management should have:

  • Proven experience in enterprise risk management within capital markets, securities, or banking (minimum 10 years).
  • Strong understanding of regulatory frameworks (OJK, IDX, etc.) and risk governance.
  • Demonstrated leadership in building and implementing ERM frameworks.
  • Familiarity with ESG risk integration and business continuity planning.
  • Excellent communication skills to engage with Boards, regulators, and cross-functional teams.
  • Bachelor's degree in Finance, Risk, Economics, or related field (Master's preferred).
  • WPPE Certification is a must
  • Professional certifications (e.g., FRM, CFA, CRMP) are a plus.

What's on Offer

  • Opportunities to work in a prominent financial services organisation in Indonesia.
  • A professional environment fostering growth and innovation.
  • Comprehensive support for career development and skill enhancement.
  • Access to a collaborative and forward-thinking team culture.



If you are ready to take on this challenging and rewarding role, we encourage you to apply today.

Contact
Christina Sutiono
Quote job ref
JN-102025-6853601
Phone number
+62 21 2958 8849

Job summary

Function
Banking & Financial Services
Sub Sector
Portfolio / Fund / Asset Manager
What is your area of specialisation?
Financial Services
Location
South Jakarta
Contract Type
Permanent
Consultant name
Christina Sutiono
Consultant contact
+62 21 2958 8849
Job Reference
JN-102025-6853601

Diversity & Inclusion at Michael Page

We don't just accept difference - we celebrate it. We encourage applicants from all backgrounds to apply for this role and are committed to building inclusive, diverse workplaces where everyone can thrive. If you require any support or reasonable adjustments during the recruitment process, please let us know.