Finance & Risk Manager Resume Samples

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BK
B Konopelski
Blanca
Konopelski
557 Damien Crest
Phoenix
AZ
+1 (555) 527 8798
557 Damien Crest
Phoenix
AZ
Phone
p +1 (555) 527 8798
Experience Experience
San Francisco, CA
Finance Quality Risk Associate Manager
San Francisco, CA
Stroman, Blanda and Larson
San Francisco, CA
Finance Quality Risk Associate Manager
  • Day to day management of the quality team function including supervision and development of the Europe & India team members
  • Prepare well-written and timely risk reports and high quality presentations for leadership and board level reporting
  • Oversee the evaluation and testing of internal controls in geographic region in conjunction with Global Internal control recommendations
  • Design and implement a comprehensive action plan for each material identified risk
  • Perform ongoing risk assessments of the of the RTR function with a particular focus on balance sheet reconciliation performance and help develop a risk based audit plan
  • Deliver technical advice, assistance and instructions
  • Perform financial and compliance audits of functional areas and report significant issues related to processes and controls, including risks inherent in – and potential improvements to processes and controls
New York, NY
Finance & Risk Risk Analytics Manager
New York, NY
Jones, Rath and Powlowski
New York, NY
Finance & Risk Risk Analytics Manager
  • Closely follows the strategic direction set by senior management when establishing near-term goals
  • Support project teams engaged in the delivery of a wide range of Digital Finance and Enterprise Performance Management (EPM) initiatives
  • Manages small teams and/or work efforts (if in an individual contributor role) at a client or within Accenture
  • May interact with peers and/or management levels at a client and/or within Accenture
  • Develop thought capital and disseminate information around current and emerging trends
  • Understands the strategic direction set by senior management as it relates to team goals
  • Adapts existing methods and procedures to create possible alternative solutions to moderately complex problems
present
San Francisco, CA
Senior Manager Portfolio Risk Receivables Finance
San Francisco, CA
Reilly Group
present
San Francisco, CA
Senior Manager Portfolio Risk Receivables Finance
present
  • Develop of systems and scorecards for fraud prevention
  • Provide risk advice on processes and controls
  • Maintain and develop of decision systems using analytics
  • Undertake portfolio analysis to establish future risks and opportunities
  • The jobholder will ensure the fair treatment of our customers is at the heart of everything we do, both personally and as an organization
  • Undertake credit reviews and investigations in to loss events
  • Reactive and proactive investigation of risk processes and controls relating to fraud
Education Education
Bachelor’s Degree in Accounting
Bachelor’s Degree in Accounting
Texas A&M University
Bachelor’s Degree in Accounting
Skills Skills
  • The ability to quickly understand the key value drivers in a business and how these impact the scope and approach of client assignment
  • Strong project management background
  • Proven ability to rapidly distil key facts from multiple sources and to synthesise appropriate ideas and actions into plans
  • Strong problem solving skills
  • Strong and proven Communications and governance management skills
  • Experience of high profile work within tight timelines
  • Good understanding of ASEAN culture and markets
  • Develop & promote the Finance & Risk practice for Banking through development of assets, recruitment of relevant skills and internal communications
  • Risk technology review and target operating model design
  • Banking and/ or private banking, wealth management experience in matured financial markets
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6 Finance & Risk Manager resume templates

1

North American Banks & Finance Credit Portfolio Senior Risk Manager Resume Examples & Samples

  • Directing the initial and annual credit reviews on a portfolio of banks and finance companies
  • Approving credit facilities, specific transactions and exceptions within delegated credit authority and communicating with the sales force on a daily basis
  • Reviewing bespoke transactions and new products
  • Advancing and innovating risk management tactics
  • Streamlining processes and changing firm-wide policies and procedures to be more reflective of current market conditions
  • Negotiating the credit-related terms in loan documents as well as ISDAs, MRAs, MSFTAs and other capital markets documentation
  • Providing leadership and guidance to junior staff
  • 10+ years of previous work experience in a related field
  • Breadth of knowledge across loans and Capital Markets trading and lending products, particularly in derivatives, structured and other complex products traded by sophisticated financial counterparties
  • Knowledge of treasury, cash management, and clearing products and services
  • Strong grasp of current technologies including stress testing is highly beneficial
  • Advanced working knowledge of Microsoft Excel, PowerPoint, Word and Access
  • Highly effectively communication skills, used to partner with other groups and present findings and suggestions to senior risk management
  • Motivated and confident to drive change
  • Attention to detail; unaffected by high pressure situations
  • Quantitative and intuitive skills in the risks inherent in capital markets products, transactions and positions
  • Formal credit training with experience in a global institution
  • Real sense for how to build/support business growth
  • Bachelor degree required; additional degrees/designations which may include MBA, or MS desirable
2

ITS Team Manager Gs-finance & Risk Data Foundations Resume Examples & Samples

  • Development of department strategy in cooperation with Senior Management and implements it
  • Resource management of Program Layer (Feature Management Team) if applicable
  • The scope consists of building a solid and unique data repository for Risk & Finance that is then exploited by a set of analytical solutions (engines) that are parameterized to serve the Bank current & future business needs (risk, liquidity, profitability, compliance reporting, …)
  • Is responsible to develop and maintain the local applications, also based on Oracle, that today serve the Accounting function of the Bank. These applications evolve to meet new legal requirements and to ensure proper integration of the Bank business changes with Accounting
3

ITS Team Manager Gs-finance & Risk Analytics Resume Examples & Samples

  • People development and team management
  • Software development & software delivery via continuous delivery
  • Operational management
  • Risk management & Compliance
  • Sourcing & vendor management
4

Finance Operational Risk Manager Resume Examples & Samples

  • Bachelor’s degree in Business, Economics, Finance, or Accounting, or an equivalent combination of education and work experience
  • 10 years progressive work related experience with demonstrated proficiency and understanding of operational risk
  • 4 years supervisory or management level experience
  • Demonstrated ability to access and analyze actual and emerging risks within medium complex Functions/LOB’s
  • Ability to work within a matrix organization
5

Senior Manager Portfolio Risk Receivables Finance Resume Examples & Samples

  • Key revenue generating function within the business where effective Sales management and cross-referrals are pivotal to success: driving the bank’s market profile and encouraging revenues to meet and exceed specified targets
  • The role holder will engage with the broader GTRF business development teams to develop mutual leads and will co-ordinate with the Global Businesses to drive win: win opportunities from CSTF solutions. Holder is expected to bring best practice experience, constructive challenge and professional integrity and influence to drive Sales strategy and supporting processes
  • May include future team lead responsibilities
  • Demonstrable knowledge of the global/regional / local CSTF markets and players
  • Demonstrable knowledge of CSTF products and hybrid solutions and their application
  • Demonstrable knowledge of other GTRF products as well as a general knowledge of other bank offerings
  • Sound application of Credit, Operational and Market risk principles applicable to CSTF
  • Expected exposure of minimum 5 years to the CSTF market(s) and 7-10 years with GTRF
  • Proven ability in identifying and meeting customer needs through matching a broad range of products and services
  • Strong credit assessment skills, particularly with regard to more complex and structured facilities with an international dimension
  • Good level of business acumen and commercial awareness, including economic, cultural, procedural and regulatory issues
  • Ability to interact with business customers at all levels
  • Excellent interpersonal skills and ability to interact and build relationships with internal and external stakeholders
  • Excellent time management, planning and organization skills
  • Knowledge of CMB’s international proposition / product capabilities
  • University/College Degree in business/finance preferred
6

Finance Operational Risk Manager Resume Examples & Samples

  • 8+ years of relevant governance, risk, control, and management experience, specifically in areas of accounting and finance in a large, fast-paced, results-oriented company with a demonstrated history of success
  • Experience in performing risk assessments, developing and producing meaningful metric reporting
  • Effective partnering skills enabling navigation of the complexities associated with aligning stakeholders, building consensus and resolving conflicts; proven ability to influence peers/stakeholders and representatives across multiple groups
  • Ability to communicate complex ideas in a clear and concise manner, influencing the opinions and actions of key stakeholders and gaining their trust; experience in effectively interacting with senior management
7

Senior Manager, Credit Risk Practice Finance Resume Examples & Samples

  • 10+ years' experience across the full end to end credit risk processes and procedures
  • Strong credit approval a background with a material discretionary credit approval limit
  • Significant experience of credit policy requirements to support commercial lending
  • Proven track record in key stakeholder and vendor management
  • Advanced experience with Microsoft Office – including Excel, VBA, Word and PowerPoint
  • Proven leadership, team and relationship building skills
  • Experience in regulatory and risk control framework reporting
  • Undergraduate degree in one of the following: Finance, Economics, Commerce
  • CFA qualified preferable
  • AMP is an organisation like few others. We enjoy a culture that recognises individuality yet encourages collaboration, giving real meaning to our work and making a difference to our people and our customers
8

Manager, Risk & Credit Finance Resume Examples & Samples

  • Working within the Risk function of the organisation, on a day to day basis you will be assessing and performing Credit Reviews and Risk Assessments of new transactions, existing and new clients aswell as limits. This will also include a pre-review of potential new clients
  • Evaluate the accuracy of the relevant customer and application information
  • Carry out Annual Reviews of the client Risk profile, while utilising both internal and external sources
  • Having a clear understanding of FX PAYMENTS aswell as Derivatives is a must for this role
  • Direct people management is not required for this role
  • Prepare Credit Reports to ensure that complete credit decisions are reached on transactions such as contract extensions, rollovers, modifications etc while adhering to the valid approval matrix
  • Liaise with other departments as and when required, such as with the Credit Monitoring team in order to define the appropriate strategy for high risk/watch list customers
  • Strong Credit assessment skills are non-negotiable
  • Conduct regular customer and branch visits
  • University degree in Finance or Business
  • Proven track record in Credit or Risk Management within Banking or Financial services
  • Languages: Fluent in spoken and written English is non-negotiable and fluency in at least one of the following languages is desired French, German, Czech or Polish
  • Strong knowledge of Microsoft, Excel, aswell as Audio and Videoconferencing facilities
  • Demonstrate problem solving and an analytical mind set
  • Thrive and be comfortable working under pressure
9

Finance Risk & Control Manager Resume Examples & Samples

  • Several key control activities and will assist the WIM Finance Risk Manager prepare reporting and documents required for various special projects
  • Assist in the quality assurance testing of controls across the WIM teams
  • Assist in further developing the Daily Front End Control (FEC) process/database, which includes monitoring the FEC Database to ensure the accuracy and completeness of gross commission feeds prior to their processing in the MSSB Commission System
  • Daily reporting over manual commission-related entries posted by FA Compensation team and the various Product Area Operations departments
  • 4-6 years of experience in Finance
  • Ability to manage in ambiguous situations and execute tasks independently as well as working in a group-orientated environment, accurately, and timely
  • Experience with project management and problem solving as well as running complex finance processes
  • Process redesign and process improvement experience
  • Strong knowledge of Excel is a plus (e.g., pivot tables, vlookups, etc.)
  • Knowledge of regulatory environment and key compliance rules affective financial services
  • Attention to detail and pro-active communications with various counterparts, including but not limited to Operations, Risk, Human Resources and other Finance teams across domestic and international locations
  • Experience in internal audit, risk/controls, compensation accounting, and/or Investment Management knowledge a plus
10

Manager, Credit Risk Management, Finance Resume Examples & Samples

  • Responsible for managing or supporting the credit risk to BASF group legal entities in Japan
  • Provide analytical methodologies to analyze the creditworthiness to minimize the exposure of the various firms they work with and Overdue Management,
  • Assist in the development and maintenance of a credit risk rating matrix; provide continuous monitoring and surveillance of the firms and financial requirements while conducting ratio and trend analysis
  • Compliance with audit, legal and regulatory requirements; supporting BASF guideline; developing new and enhancing existing guideline, procedures and practices
  • Adopt and adjust to prevail BASF Global and Regional guideline
  • Develop and leverage relationships with customers and partners to manage risk while facilitating sales, proactively engage with customers and Partners to manage and expand credit capacity. Professionally and timely, address customers and stakeholders complaints
  • Training to BU colleagues
  • Ad hoc projects
  • Control of Customer Master Data
  • Collateral Management
  • Excel, Word, Power Point
  • ERP package as end user e.g. SAP, ORACLE
  • Standard operations of CRM
  • The basic knowledge of Japanese Contract
  • Debt collection management
  • English: Business Intermediate to Advance level (oral and written)
  • Japanese: Business Intermediate to Advance level
  • Proven experience in Credit Risk Management in related industry > 3 years
  • Finance and Business related experience > 5 years
  • Corporate Finance
  • Internal control
  • M&A&D (including advisory)
11

Finance & Risk Ops Manager Resume Examples & Samples

  • Establish the Assurance, Analytics and Interface capability at FRO for North American Controllers (NAC) LV/Business support. Implement and execute in adherence with the AAI globally standard roles and responsibilities
  • Directly manage the AAI function for the NAM business groups on an ongoing basis and drive the engagement with this partner constituency; this will entail monitoring, enriching and influence the business’ decision process, including providing detailed analytical support for interpreting accounting changes, supporting complex transactions, reviewing internal controls, etc
  • Performs data integrity and quality checks, validation reviews, analysis of FRO outputs, performance results, trends, financial and report variances across all FRO functions and processes, i.e. Financial and US Regulatory Reporting, Balance Sheet Substantiation, Operations and General Accounting, System Operations, etc
  • Provides the pertinent financial and management information reports to facilitate the needs of the NAC finance teams
  • Serves as the primary point of contact to resolve issues across all FRO processes and as the single interface with the NAM Controllers
  • Establishes service standards, monitors service performance metrics and partners closely with Process Leads to recommend action plans to meet and exceed service level agreements
  • Drives the end-to-end corrective actions and sustainable fixes to address operational issues and service standards breakages
  • Reviews adequacy of internal controls in the record-to-report processes and sees that procedures are in place to identify and mitigate risks
  • Understands rationale of change management impacts to FRO groups as it pertains to global and regional programs on Citi Finance transformation as they relate to FRO processes
  • A proven track record with 6+years of demonstrated leadership experience in Controllership / Finance operations with emphasis on relationship management and communication and collaboration with senior executives across countries, businesses and functions
  • Strong and extensive knowledge of Financial and US Regulatory Reporting, US GAAP and Balance Sheet Controls working in large Financial Services or Banking Multinationals
  • Must have high-level thinking, exceptional analytical skills, combined with an ability to deliver analyses in a concise and logical manner; Excellent problem-solving skills
  • Strong focus on controls, superior attention to detail as well as almost compulsive need for accuracy
  • Proven ability to facilitate and coordinate multiple priorities and deadlines and respond quickly to customer requests
  • High level of maturity and the ability to see the bigger picture especially in the face of decision making
  • Excellent follow-through on issue resolution; ability to overcome challenges and respond quickly to problems or crises
  • Excellent vocal leadership; ability to articulate viewpoints clearly and precisely. Skilled communicator who influences and shapes the image of a function and negotiates with great latitude on outcomes
12

Finance & Risk Manager Resume Examples & Samples

  • Experience in Market Risk and Interest Rate Risk Management would be added advantage
  • Established relationship with executives in a few financial institutions in Singapore
  • Ability to travel up to 100%
  • Strong project management background
  • Risk/ finance/ compliance background
  • Capital market risk with deep understanding of treasury/ capital market products and/ or operations
  • Compliance experience with UK, US, AU, SG and/ or HK regulators – technology compliance, data privacy, fraud, financial crime, AML, KYC, trade surveillance
  • Risk-finance integration projects
  • Basel II/ III
  • Risk technology review and target operating model design
  • Banking and/ or private banking, wealth management experience in matured financial markets
  • If he/ she is from the industry, have worked in a few projects and/ or with experience in dealing with regulators
  • Good understanding of ASEAN culture and markets
  • Analytics background is a plus
13

Finance & Risk Data Modelling Manager Resume Examples & Samples

  • Aligned & Integrated Business & Technology Architecture
  • Data Sophistication Driving Analytical Insight
  • Global Transformation with Local Expertise
  • Experience in defining/ implementing data models in the domains of credit, market or operations risk for banking, capital markets or insurance organisations
  • Be able to advise clients on building/ enhancing risk data models based on industry best practices and their own past experience of such models (credibility in this area requires domain and industry-specific experience)
  • A qualification in Computer Science, Operational Research, Statistics, Mathematics, Engineering or highly numerate science
  • Highly numerate with a strong technical knowledge and experience of applying analytical and modelling techniques to provide insights to business issues
  • Experience in applying analytical techniques
14

Finance & Risk Transformation Manager Resume Examples & Samples

  • Finance and Risk Vision / Target Operating Models
  • Finance and Risk Alignment
  • Systems / Data Architecture and Governance
  • Finance and Risk Workforce Optimisation
  • Operating model design and delivery
  • Project and programme management, all phases from initiation through delivery and post go-live support
  • Systems and data transformation (strategy through to implementation)
  • Finance, Risk and Treasury technical architecture
  • Experience of ERP systems and implementations, including Oracle and SAP or other Finance and Risk related technologies (package or bespoke)
  • Processes and control design and implementation
  • Excellent knowledge of how financial institutions operate and generate business including the current challenges within Risk Management, Operational Risk and the management of risk in Operations
  • Challenges faced by the Finance and / or Risk functions
  • The current regulatory change being placed on Financial Services Finance & Risk functions
  • Credibility in working on client change projects with the requisite leadership and stakeholder engagement skills that can immediately be used on client facing work
  • Consistent Successful Delivery of Complex Projects: Be able to demonstrate a track record of successful project / programme delivery in the Finance & Risk functions. Candidates must show an understanding of trends and underlying principles across the Finance & Risk landscape with the ability to actively manage projects and clients through to successful delivery
  • Team and Client Management: Managers are responsible for driving delivery of our client projects and must be able to demonstrate a track record of team creation and management alongside successful client stakeholder management
  • Proven Financial Services Experience: You will typically have between five and ten years’ experience of Financial Services experience, you will have strong demonstrable track record in undertaking Finance & Risk transformations
  • Ideally qualifications in Accounting (ACA, ACCA, CIMA), Risk (PRM/FRM), IT Security and Controls, COBIT, ITIL
  • 4+ years’ experience
15

Finance & Risk Risk Analytics Manager Resume Examples & Samples

  • Interacts with senior level (C-suite, SVP, VP, etc.) clients and/or within Accenture on matters where they may need to gain acceptance on an alternate approach
  • Acts independently to determine methods and procedures to deliver against assignments
  • Decisions have a major day-to-day impact on area of responsibility
  • Support and/or lead project teams engaged in the successful delivery of a wide range of client engagements
  • Advise clients on a wide range of wide range of risk analytics solutions; develop and manage relationships as a trusted advisor to senior executives, with an eye towards qualifying potential opportunities
  • Integrate decision science and analytical thinking, past experiences and methodologies, market analysis and company goals to drive client solutions
  • Manage engagement risk, project economics including planning and budgeting, manage account receivables, define deliverable content, ensure buy-in of proposed solutions from top management levels at the client
  • Develop thought capital and disseminate information around current and emerging trends
  • Maintain an understanding of advancements in technology and innovations which are happening across Risk Analytics and broader financial services marketplace
  • Minimum 5 years of prior Management Consulting experience focused on the Financial Services industry
  • Minimum 5 years of experience with
  • Prior experience qualifying potential opportunities and negotiating complex deals
  • Experience within the model risk or model development team of a universal bank, wholesale bank or rating agency
  • Strong understanding of front and back office operations desirable
  • Strong analytics, problem solving and troubleshooting skills and the ability to exercise mature judgment structured decision-making
  • Ability to work independently and manage dynamic consulting projects with heavy client engagement
  • Proven ability to work creatively and analytically in a problem-solving and demanding environment
  • Results-oriented, self-directed, inquisitive, and entrepreneurial-minded
16

Finance & Risk Manager Resume Examples & Samples

  • Support origination and sales efforts for finance opportunities in Banking
  • Deliver Finance and Risk transformation programs for both business and technology initiatives
  • Manage day-to-day project operations and provide oversight for a team of consulting staff and engage in stakeholder management with business representatives
  • Develop & promote the Finance & Risk practice for Banking through development of assets, recruitment of relevant skills and internal communications
  • Collaborate with internal Risk & Regulation and Technology partners to develop joint go-to-market strategies
  • Team leadership skills
  • Experience of high profile work within tight timelines
  • Extensive project and stakeholder management experience
  • Strong and proven Communications and governance management skills
  • The ability to quickly understand the key value drivers in a business and how these impact the scope and approach of client assignment
  • Experience in running Governance Committees with senior stakeholders, with all associated processes
  • Proven ability to rapidly distil key facts from multiple sources and to synthesise appropriate ideas and actions into plans
  • Thorough understanding of the administration and hygiene side of project and programme management, e.g. RAIDs, plans, budgets, forecasts, resource management, etc
  • Understanding of the key drivers for change in investment, commercial and/or retail banking in the current economic, political and regulatory environment
  • Experience or desire to shape client propositions and commercials
  • Experience in ERP systems and implementations, including Oracle and SAP or other Finance and Risk related technologies (package or bespoke)
  • Proven experience of working with Project Management methodologies (e.g. Prince 2 Qualified)
  • You will have an Undergraduate degree (at least 2.1)
  • Experience in having a leador material role in transformational programmes of work across Finance, Risk or Treasury domains
17

Finance & Risk Data Management Manager Innovation Center for Finance & Risk Resume Examples & Samples

  • Lead overall delivery, manage day to day delivery activities and provide solution support, issue and risk management and communication to leadership and external bodies on overall status
  • Lead project teams engaged in business data lineage, data mapping, data governance and data profiling activities
  • Lead workshops with key stakeholders from our clients to document data flows and processes
  • Lead business data lineage and data quality reporting, integrate lineage and profiling from onshore and offshore teams into final deliverables
  • Define target states of technical and functional reporting & analytics design. Identify current gaps and lead corrective efforts
  • Advise clients on a wide range of data management solutions; develop and maintain relationships as a trusted advisor to senior executives, with an eye towards qualifying potential opportunities
  • Support development of the Risk Analytics practice by driving initiatives around market research, capability development, knowledge management, etc
  • Minimum 5 years of prior Management Consulting experience focused on the Financial Services industry required
  • Dealing with large data sets, change initiatives, and collecting current state/target state design in functional and/or technical capacity
  • Leading large-scale risk and/or finance infrastructure transformations
  • Significant engagement management as well as business, practice, and people development
  • Knowledge of risk data-related regulatory requirements and trends, such as Basel, BCBS239, CCAR
  • Strong understanding of front, middle and back office operations
  • Strong understanding of Statistics
  • Experience leading a project team of least 3 resources
  • Solid project management experience including: defining scope, setting project timelines and milestone, driving deliverables, identifying risks, handling issues, project economics and client relationship management)
  • Demonstrated ability to clearly communicate with clients, lead key requirement workshops, document requirements, and articulate the value proposition and business case for data management solutions
  • Minimum of a Bachelor's Degree in a quantitative discipline such as: Mathematics, Statistics, Econometrics, Economics, Engineering, Quantitative Finance or other quantitative discipline. An Advanced Degree in one or more of these disciplines is highly desirable
  • Prior experience qualifying potential opportunities and negotiating complex deals desirable
  • Prior experience in Data Governance engagements and knowledge of third-party data management tools a plus
  • Demonstrated ability to lead dynamic consulting projects and strong project management skills (e.g., defining scope, setting project timelines and milestones, driving deliverables, identifying risks, and handling issues)
  • Demonstrated track record of delivery as part of a project team, including the ability to meet deadlines, overcome challenges, manage stakeholder expectations, and produce project deliverables
  • Ability to work independently and lead dynamic consulting projects with heavy client engagement
  • Demonstrated ability to understand client needs, translate business needs into requirements, develop proposed solutions, and deliver high impact change initiatives
18

Finance & Risk Analytics Senior Manager Resume Examples & Samples

  • Risk Ratings and Credit Risk Methodology
  • ALM/ Liquidity Risk / Balance Sheet management
  • ALLL and Provisioning
  • Fraud Management
  • Strong academic credentials and publications, if applicable. Industry certifications such as FRM, PRM, CFA and strong academic performance (GRE, GMAT, GPA) preferred
  • Knowledge of tools/ vendor products such as Moody’s Risk Calc/ Risk Frontier / Credit Edge, Bloomberg, Reuters, Murex, QRM, etc
  • Risk Regulation: In-depth understanding of new/ evolving regulations in the Risk management space. Knowledge of CCAR, CECL, FRTB, IFRS9, Basel II/ 2.5/ III, Dodd Frank, etc
  • Ability to work around a dynamic business and travel schedule (up to 80% as necessary)
19

Finance & Risk Analytics Manager Resume Examples & Samples

  • CVA/ CCR / Counterparty Risk
  • Stress Testing, Capital Management
  • Collections and Recovery
  • Model Audit
  • Minimum of Bachelor degree (MA/MS/MBA strongly preferred) in quantitative discipline, (Economics, Statistics, Operations Research, Computer Science, Engineering)
  • Masters or PhD in a Quantitative discipline
20

Finance & Risk Data Management Senior Manager Innovation Center for Finance & Risk Resume Examples & Samples

  • Lead large or multiple project teams engaged in the delivery of and advise clients on a wide range of business and technology data or analytics projects
  • Develop new data or analytics solutions to address client needs on Accenture’s Insights Platform, work hand in hand with our Technology Development Labs and create go to market strategy, plans and communication materials
  • Develop and maintain contact with C-level clients, be an internal and external trusted advisor on new trends and best practices for Data & Analytics as it relates to Finance, Risk and Compliance functions. Providing industry point of view and recommendations on how clients can transition to future state solutions
  • Develop trusted relationships with internal and external clients, and have an eye for qualifying potential opportunities and/or negotiating complex deals
  • Facilitate senior level clients through evaluation of improvement opportunities, new architecture design and roadmaps through workshops
  • Contribute to the execution of the practice’s growth plan; support the go-to-market strategy, offering prioritization, design, planning and delivery of offerings
  • Manage engagement risk, project economics including planning and budgeting, manage account receivables, define deliverable content
  • Lead, develop and support our resources; encourage creative and innovative thinking from team members while helping them to bring their ideas and career plans to fruition
  • Develop thought leadership and disseminate information around current and emerging data and analytics trends
  • Maintain an understanding of advancements in technology and innovations which are happening across the broader marketplace
  • Minimum 8 years of prior Management Consulting experience focused on the Financial Services industry required
  • Prior experience should include
  • Delivery of large scale data, analytics and reporting projects within Finance, Risk or Compliance
  • Experience in implementing new technologies within data engineering, data management, analytics and/or machine learning
  • Delivery of large scale regulatory programs, such as BCBS239, CCAR, Basel III, CECL, FRTB
  • Significant client engagement management skills with business and technology financial services leadership
  • Attested practice, and people development
  • Prior experience qualifying potential opportunities, negotiating and structuring complex deals
  • Knowledge of risk data-related regulatory requirements and trends, such as BCBS239, CCAR, CECL, FRTB
  • Demonstrated knowledge of Financial Risk Management concepts (Credit, Market, Liquidity)
  • Familiarity with Risk Technology, Data & Analytics Vendors
  • Experience leading a project team of at least 10 resources
  • Solid project management experience including: defining scope, setting project timelines and milestone, driving deliverables, identifying risks, resolving issues, project economics and client relationship management)
  • Demonstrated ability to clearly communicate with senior clients, lead key requirement workshops, document requirements, and articulate the value proposition and business case for data management solutions
  • Delivery of end-to-end data management projects from data onboarding through aggregation, modelling and reporting
  • Expertise in Data Governance engagements and knowledge of third-party data management tools a plus
  • Demonstrated ability to lead dynamic consulting projects and strong project management skills (e.g., defining scope, setting project timelines and milestones, driving deliverables, identifying risks, and addressing issues)
  • Ability to navigate unstructured processes and to handle multiple workstreams at the same time
  • Strong analytical, problem solving and troubleshooting skills and the ability to exercise mature judgment structured decision-making
  • Attested ability to work creatively and analytically in a problem-solving and demanding environment
21

Finance Quality Risk Associate Manager Resume Examples & Samples

  • Day to day management of the quality team function including supervision and development of the Europe & India team members
  • Manage allocated risk reviews to ensure the successful execution of the annual Quality Risk Plan
  • Oversee the evaluation and testing of internal controls in geographic region in conjunction with Global Internal control recommendations
  • Perform financial and compliance audits of functional areas and report significant issues related to processes and controls, including risks inherent in – and potential improvements to processes and controls
  • Prepare well-written and timely risk reports and high quality presentations for leadership and board level reporting
  • Design and implement a comprehensive action plan for each material identified risk
  • Collaborate with the global Internal Audit team for sharing best practices and take active part in developing tools and methodologies for operational excellence
  • Develop innovative and creative risk assessment tools, audit practices and processes
  • Implement the use of technological solutions to minimize exposure to material misstatement of financial position
  • Excellent reputation for integrity and teamwork
  • Excellent written and verbal communication skills, interpersonal and presentation skills
  • Strong executive presence
  • Good knowledge of Internal Control systems and data analytics
  • Deep US GAAP Knowledge and IFRS knowledge
  • Knowledge of Sarbanes Oxley Act
  • 7+ years of professional accounting experience, preferably including Big 4, including supervisory experience within large MNC, particularly large IT Services MNCs
  • Undergraduate degree in Accounting, Finance or a related field
  • Additional certifications such as CIA, CFE, CISA, IFRS desirable
22

Finance & Risk Analytics Manager Resume Examples & Samples

  • Minimum of 6 years of experience within Risk Management/ Analytics at a Financial Services firm (Consumer/Commercial Bank or Investment Bank or Broker-Dealer), Rating Agency or Professional Services/Risk Advisory firm, with significant exposure to one or more of the following
  • Strong preference for experience in consulting/professional services
  • Strong academic credentials and performance (GRE, GMAT, GPA) preferred
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Finance & Risk IT Risk Remediation Manager Resume Examples & Samples

  • Oversee and assist in the remediation of operational risk actions in F&R IT
  • Focus on remediating operational risk issues raised through audit, regulators and self-identified items leading to material reductions in the operational risk profile of the function
  • Co-ordinate resources o deliver remediation in IT controls (change management, incident and problem management, access control, and various other key procedural controls)
  • Be accountable for risk management, risk mitigation, and ORI tracking insuring regulatory, audit and self-identified issues can be closed and ensure F&R IT's compliance -help manage the remediation of Risk and Control portfolio in line with the operational risk framework increasing F&R IT's compliance with operational rsk processes and control framework
  • Face off to senior managers within group technology and audit
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Finance & Risk-frm Liquidity Risk Manager Resume Examples & Samples

  • Minimum 5 years of liquidity risk or finance function experience within the Banking, Capital Markets and/or Insurance industries
  • Functional / domain knowledge across the following concepts: stress testing; cash flow forecasting; regulatory reporting (e.g., LCR, NSFR, 4G / FR2052a); asset liability management; balance sheet optimization;, funding planning
  • Experience within the following: treasury operating model; finance processes, particularly month-end reconciliation; balance sheet analysis; data analysis, including understanding of the difference between finance and risk data; data architecture design, including impact of BCBS239; data sourcing approach / strategy for changing regulatory requirements
  • Demonstrated understanding of vendor offerings in Liquidity Risk Management (.e.g., Moody’s, SAS, ORACLE)
  • Prior experience in large-scale risk and/or finance infrastructure transformation
  • Demonstrated understanding of Financial Risk Management concepts
  • Demonstrated understanding of front, middle and back office operations
  • Demonstrated understanding of statistics
  • Minimum 3 years of Management Consulting experience focused on liquidity risk within the Financial Services industry required. Recent experience highly desirable
  • Demonstrated ability to facilitate and drive conversations at the executive level, including the ability to convey emerging trends, recommendations, and business value propositions
  • Demonstrated experience working through organizational change, with a demonstrated track record of continuing responsibilities, creativity and innovation, including evidence of solution design
  • Well-developed analytical skills, the ability to provide clarity to complex issues, and synthesize large amounts of information
  • A strong desire to deliver to a high standard and ability to develop creative and breakthrough solutions
  • Demonstrated ability to concurrently manage dynamic consulting workstreams and/or projects
  • Strong analytical, problem solving, and troubleshooting skills with the ability to exercise mature judgment and structured decision-making
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Finance & Risk-risk Analytics Senior Manager Resume Examples & Samples

  • Strong desire to rapidly grow and scale North America Guidewire Business
  • Demonstrated ability to stay current on latest market offerings with desire to lead and educate practice
  • 8+ years of experience in business consulting to Insurance (P&C) clients focused on operating model transformation, business process improvement, business capability uplift, etc. with deep knowledge of insurance propositions, products, services, channels, functions and processes
  • Guidewire Functional or Technical Certifications
  • 4+ years of Consulting experience with Guidewire implementations (sales, solutioning, consulting)
  • 3+ years of Consulting experience with Guidewire ClaimsCenter implementations
  • Strong passion for serving Insurance clients in their effort to successfully transform their business
  • Deep interest in and knowledge of emerging trends impacting/likely to impact insurers, distributors and customers
  • 6+ years of demonstrated ability to identify, shape, sell and lead management consulting work in the Insurance industry, working collaboratively with client senior leaders and teams
  • Team and relationship management
  • Experience in Insurance operating model development (distribution, sales, service, product management, claims, customer experience, analytics )
  • Demonstrated deep experience in one or several of the following industry segments: P&C Personal Lines, P&C Small Commercial Lines, P&C Middle Market, P&C Large/Specialty, Life & Annuity, Group Benefits
  • Demonstrated leadership to successfully deliver Guidewire technology consulting and transformation efforts, leading multi-disciplinary teams including client team members
  • Guidewire value proposition development and articulation
  • Guidewire technology capability solutioning and blueprint development
  • Technology roadmap development
  • Technology consulting program execution
  • Developing and sustaining strong relationships with clients’ business leaders
  • Demonstrated ability to build, manage and foster a highly motivated, team-oriented environment and actively guide and mentor people
  • Proven record of effectively collaborating across areas of business and disciplines to formulate creative yet pragmatic business solutions
  • Excellent leadership and management skills
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Finance & Risk Risk Analytics Manager Resume Examples & Samples

  • Understands the strategic direction set by senior management as it relates to team goals
  • Uses considerable judgment to define solution and seeks guidance on complex problems
  • Defines methods and procedures on new assignments with guidance
  • Decisions often impact the team in why they reside
  • Manages small teams and/or work efforts (if in an individual contributor role) at a client or within Accenture
  • Demonstrated ability to clearly communicate with clients, lead key requirement workshops, document and understand requirements
  • Demonstrated ability to interface effectively with clients individually and as a member of an engagement team
  • Ability to work independently and manage multiple projects, assignments and/or responsibilities
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Finance Risk Manager Resume Examples & Samples

  • Higher education in economics (econometrics, finance, etc.)
  • Experience in project management or project streams in the area of consultancy
  • Knowledge of the construction of predictive models, statistics and tools used for this purpose
  • Very good command of English and Polish
  • Ability of analytical thinking
  • Creativity and ability to solve problems
  • Availability and mobility (the company is based in Warsaw, where projects are usually carried out in the client's premises)
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Risk Manager, Invoice Finance Credit Resume Examples & Samples

  • Risk leadership of the WIF new business and existing portfolio for NSW, role is also based in Sydney
  • Work with distribution and credit underwriting teams to ensure all new lending is of an acceptable standard
  • Provide recommendation and specialist review of Credit Applications pertaining to WIF (ie suitability/structuring & conditioning) originating from within assigned state. Provide the risk input into WIF lending requests for new to product customers
  • Undertake on-boarding of new to product clients including review of pre-take on audits, initial training and partnering with the client, WIFM and Relationship Manager to ensure all required action items are completed
  • Prepare training plan and undertake additional training at client premises in relation to clients WIF operations identifies as requiring assistance on an ongoing basis
  • Manage WIF exposure recovery activity by executing on enforcement and collection working in conjunction with Credit and LMU to ensure that the overall financial and reputational risk to the Bank is controlled and minimised
  • Provide local support, guidance and action on Exit, Grey List and Watchlist accounts within agreed timeframes
  • Meet portfolio quality and bad debt targets
  • Manage audit team assigned to the relevant state including audit scheduling and the review and actioning of audit findings and recommendations
  • Conduct ad-hoc investigative work on client premises where required
  • Tertiary qualifications in business, finance, accounting and commerce or related discipline
  • 5-7 years’ experience in business lending related roles in financial services industry, ideally with extensive experience in Invoice Discounting
  • Previous experience with P&L management is advantageous
  • Capacity for numerical and analytical thinking and functioning
  • Knowledge of accounting principles and budgets incorporating pricing
  • Knowledge of the legal, compliance and regulatory framework of the products, including risk
  • Communication, networking and coaching skills
  • Influencing and relationship building skills
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Senior Manager of Finance & Risk Operations Resume Examples & Samples

  • Manage daily data collection and transmission of Automated Clearing House (ACH)
  • Oversee daily, weekly, monthly, annual product G/L balancing/reconciliation
  • ACH debit and credit failure management
  • Oversee support of client inquiries regarding G/L exports
  • Monitor and handle escalations for money movement process/policy exceptions
  • Execute on risk policy/process and manage inquiries/incidents
  • Internal audit/QA management
  • Report banking/risk KPIs to the Senior Director of Customer care and Treasury VP
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Finance & Risk-risk Analytics Manager Resume Examples & Samples

  • Minimum 3 years of prior Management Consulting experience focused on Risk Analytics in the Financial Services industry (e.g., Banking, Capital Markets and/or Insurance)
  • Strong project management skills (e.g., defining scope, setting project timelines and milestones, driving deliverables, identifying risks, and managing issues)
  • Experience managing a project team (sometimes concurrent) of least 3 resources, including an understanding of team strengths, the ability to coach, develop and inspire others
  • Strong competence in developing presentations required (MS Office (Word, PowerPoint, Excel)
  • Demonstrated ability to concurrently manage dynamic large consulting workstreams and/or projects
  • Ability to navigate unstructured processes and to simultaneously manage multiple workstreams
  • Ability to work collaboratively and independently while managing multiple projects, assignments and/or responsibilities