Senior Vice President, Business Risk and Control Group ...
Confidential - New York City, NY
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Senior Vice President, Business Risk and Control Group Manager About the Company Renowned commercial investment banking company with an international reach IndustryFinancial Services TypePublic Company Founded1812 Employees10,001+ Categories Wealth ManagementCredit CardsBankingFinancial ServicesBanking & MortgagesConsulting & Professional ServicesBrokerageBusinessCommon PurposeFinanceFinancial IngenuityFinancial ResponsibilityGlobal BankInvestingInvestment BankingResponsible FinanceGlobal BankingGlobal FinanceInvestment BankInsuranceAsset ManagementInvestment ManagementFinancial TransactionsInternational TradeCapital ManagementAssistance ServicesRisk AnalysisHome OwnershipLending ServicesFinancial TradingForeign TradeMobile CommunicationBlockchainRegulatory AffairsSustainabilityCorporate CitizenshipCredit Specialties bankingcommercial bankinginvestment bankingwealth managementcredit cardscapital marketsequity and fixed income researchconsumer lendingcash managementand transaction services Business Classifications B2BB2C About the Role The Company is seeking a Business Risk and Control Group Manager with a focus on Risk Analytics. The successful candidate will be responsible for gathering and analyzing data to provide risk reporting, designing risk management dashboards, and fulfilling ad-hoc requests for actionable insights to support decision-making. This role requires a strategic partnership with Market Ops management to execute the analytics agenda, manage a team of risk reporting specialists, and drive the exploration of visualization and analytics techniques. The candidate will also be involved in the transformation to a target state, ensuring that the organization's infrastructure and tools meet the needs for managing risk, and will be expected to have a strong background in data analytics, technical skills, and experience with SQL and BI visualization tools. Applicants for this role at the company should have a minimum of 10 years' experience in banking, finance, or related consulting, with a significant focus on capital markets, operations, and risk and controls management. A background in operational risk is essential, with experience in other risk and control disciplines being a plus. The role demands a high level of technical proficiency, the ability to manage large data programs, and a proven track record of delivering change in a collaborative, agile environment. The candidate must be a self-starter, highly organized, and possess strong interpersonal skills to work effectively with stakeholders at all levels. A Bachelor's degree is required, with a Master's degree being preferred, and the candidate should be adept at using MS Office applications, particularly Excel, PowerPoint, and SharePoint. Hiring Manager Title head of Markets Ops COO Global Risk Identification and Monitoring team Travel PercentLess than 10% Functions FinanceStrategy
Created: 2025-01-30