Much like all other risk managers, financial risk managers identify, analyze and attempt to mitigate risks to a company. However, these risk managers specialize in the financial industry. You may therefore find them in banks, trading and investment companies, etc. To be globally and professionally designated as a financial risk manager (FRM), you must gain GARP (Global Association of Risk Professionals) certification through a tough and thorough testing process.
Beyond the certification, recruiters will also be paying specific attention to your knowledge of the financial industry, and your success within it. In addition, you will be expected to have very strong analytical, and problem-solving skills. Take a look at this strong financial risk manager resume.