Financial and Business Operations Risk Analyst

Overview

Hybrid
$80,000 - $92,000
Full Time

Skills

Financial and Business Operations Risk Analyst

Job Details

***We are unable to sponsor for this permanent, full-time role***

***Position is bonus eligible***

Prestigious Financial Institution is currently seeking a Financial and Business Operations Risk Analyst. Candidate will support a team that identifies, measures, monitors, manages, and reports risks and exposures across the organization through the Risk Management Framework (RMF), and specifically through several risk initiatives and programs, including but not limited to risk assessment, reporting, data analysis, development of KRIs/KPIs, process and control reviews and organizational training.

Responsibilities:

Support the team tasked with assessing, implementing, monitoring, and reporting on the adequacy and effectiveness of the Risk Management Framework (RMF) across business units
Develop a working understanding of the RMF to assist business units with governance issues and concerns
Collaborate with business units and other stakeholders to assess and enhance operational resiliency and control environment
Support efforts to verify, analyze, and monitor key performance, risk, and control indicators to support management and board-level reporting across business units
Support the development, implementation, and maintenance of reports and metrics to evaluate the performance of the Enterprise Risk Assessment (ERA) program
Assist with the drafting and maintenance of ORMC’s policies and procedures
Develop ORMC reports, as well as other ad hoc and regularly occurring reports
Support management with special projects and other duties as assigned
 
Qualifications:
 
[Required] Strong analytical skills, problem solving, strategic thinking and reasoning abilities
 
[Required] Excellent verbal, written and interpersonal communication skills, including the ability to communicate effectively with all levels of staff and management
 
[Required] Detail oriented with the ability to multitask and quickly adapt to changing assignments
 
[Required] Ability to think creatively and present ideas clearly
 
[Required] Ability to manage and prioritize assignments and respond to rapidly shifting priorities
 
[Required] Attention to detail and problem-solving skills
 
[Required] Ability to anticipate, draw conclusions, and adapt to changing needs and demands
 
[Required] A high degree of integrity, professionalism, and capacity to excel in a cohesive team environment
 
[Required] Ability to work independently on projects with little oversight or as part of a team
 
[Required] Proficient in Microsoft Word, Excel, Access, and PowerPoint
 
[Preferred] Experience in designing and producing quality reports and presentations
 
[Preferred] Understanding of securities/derivatives markets and risk management
 
[Required] Bachelor’s Degree in Finance, Economics, or related field
 
[Required] 3+ years of experience in financial risk, preferably in an audit, compliance, risk, or related consulting experience