Requires a Masters degree or foreign equivalent in Finance, Financial Engineering, Economics, Business Administration, International Affairs or related field and 6 years of experience as a Financial Planning and Analysis Manager, Risk Manager, Product Control Manager or related position involving implementation of processes to meet regulatory requirements for financial institutions. Alternatively, will accept a Bachelors degree in the stated fields and 8 years of the specified progressive, postbaccalaureate experience. 6 years of experience must include Governance, risk compliance management and control assessments, including risk management measurements; Process transformation and change management, tactical improvements, strategic and remediation projects to reduce risk, increase efficiency and manage operational risk; Designing and implementing production control frameworks, including risk identification, controls definition and improvement, issue management; Enhancing controls framework through centralization, standardization and automation, identification of controls gaps, perform root cause analysis and drive technology and process solutions to remediate; Analysis of financial and nonfinancial metrics including business drivers and impact on financial results and synthesize quantitative and qualitative data to draw conclusions and assist on decision making; Financial Statements, regulations and drivers for banks; Analyzing balance sheet, capital and return metrics from a product, geography and legal entity lens; Structured program communication and change management in a global banking environment. At least 4 years must include Governance and Reporting framework for identification, quantification, measurement, reporting and governance of performance measurements; Capital Markets financial instruments, derivatives valuation models. Proof of full vaccination against COVID19 required prior to commencing employment.
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