Lead Risk Management activities by identifying, assessing, monitoring, and mitigating strategic, operational, financial, contractual, and compliance risks across the organization.
Conduct comprehensive risk reviews during Pre-Bid, Execution, and Project Closure stages to evaluate risk exposure and recommend mitigation measures.
Review commercial terms and contractual clauses including payment terms, indemnities, liquidated damages, warranties, guarantees, insurance, dispute resolution, and termination provisions.
Coordinate with legal teams to obtain legal inputs on contracts, claims, disputes, arbitration matters, and regulatory requirements.
Prepare risk assessments, risk registers, management reports, and dashboards to support informed decision-making and strengthen governance.
Collaborate with business, project, finance, procurement, contracts, and legal teams to ensure effective risk management and business protection.
Eligibility typically includes the qualifications and experience outlined in the job description above, with around 3-5 Years years of relevant experience expected for this role.
The key responsibilities for this role are detailed in the Key Responsibilities section above, covering the core duties expected of a F&A Risk Management 20221220 at L&T Finance.
This role requires around 3-5 Years years of relevant experience, as specified in the job listing. Please refer to the Qualifications & Experience section above for full details.
Skills relevant to this position are outlined in the Qualifications & Experience section above. In general, strong communication, domain knowledge, and the ability to meet role-specific targets are valued across similar BFSI positions.
You can apply directly using the Apply Now button on this page, which will take you to L&T Finance's application process for this role.