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Posted 01 August, 2026

Financial Risk Manager

DP International Finance Ltd
Auckland, AUK, NZ Full Time
Reference: 212ebc8f4558ed81

Job Description

DP International Finance Ltd - Auckland, North Island DP International Finance Limited is seeking an experienced Financial Risk Manager to oversee the company’s financial risk management, treasury operations, regulatory compliance, and internal control frameworks. Reporting directly to the Managing Director, the successful candidate will provide strategic financial risk advice and support the company’s long-term financial stability and commercial objectives. Key responsibilities Identify, assess, and monitor credit, market, liquidity, foreign exchange, and operational risks. Develop, implement, and maintain financial risk management policies and frameworks. Oversee treasury operations, cash flow, liquidity, and foreign currency exposure. Develop strategies to mitigate risks arising from exchange-rate movements, regulatory changes, and global market conditions. Establish and maintain effective internal controls to protect company assets and ensure accurate financial reporting. Lead internal financial audits and recommend improvements to financial processes and controls. Monitor compliance with relevant financial legislation, regulatory requirements, and corporate governance standards. Develop financial forecasting models, budgetary controls, risk scenarios, and stress-testing processes. Analyse financial performance, cost structures, trading effectiveness, and operational efficiency. Prepare and present financial risk reports and strategic recommendations to senior management, directors, and shareholders. Assist with the management of equity, debt, securities, and share-capital documentation. Liaise with financial institutions, auditors, legal advisers, and other external stakeholders. Implement and maintain financial systems that support real-time risk monitoring and financial control. Qualifications and experience Applicants must have either: A Bachelor’s degree or higher qualification in Finance, Financial Risk Management, Accounting, Economics, Business, or a closely related field; or If the qualification requirement is not met, at least four years of relevant work experience in financial risk management, treasury, financial compliance, internal audit, corporate finance, or a closely related field. Skills and attributes The successful applicant should also have: Strong knowledge of financial risk assessment, treasury management, and internal controls. Experience in financial forecasting, budgeting, compliance, and corporate governance. Strong analytical, problem-solving, and commercial decision-making skills. The ability to prepare and present high-level financial reports. Strong communication and stakeholder-management skills. Experience using financial systems, analytical tools, and risk-monitoring software. #J-18808-Ljbffr

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