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Job Description:
Job Description:
This work will require extensive engagement across risk functions and other partners across the Firm. The candidate will also be a key participant in audit and regulatory exams related to stress testing and will become a subject matter expert on key aspects of market risk stress testing. This role will be expected to support the team’s success through an individual contributor role and will have no formal management responsibilities.
Primary Responsibilities include:
Ownership of key management routines and materials supporting the stress testing program
Coordinate audit and regulatory requests and remediation efforts across the team
KPI Tracking and Reporting
Lead process, control and documentation enhancements and exercises for internal maintenance and broader initiatives
Maintain and leverage the enhancements inventory to drive operational excellence improvements
Required Qualifications:
Incumbents typically have 7 - 10 years of experience in the financial industry, ideally with market risk concepts and stress testing knowledge
Governance and / or project management experience
Highly motivated individual who fully understands the demands of a market risk professional with ability to work in a fast-paced environment
Highly proficient at communication with ability to influence co-workers across our global team and all levels of the organization
Intellectually curious with the ability to investigate and develop root cause analysis for issues and propose corresponding process or technology changes
Effective time management skills, with the ability to manage multiple high priority deliverables simultaneously
Experience with regulatory exams and audit
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