Risk Reporting Manager Resume Samples

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RR
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Randy
Rau
6335 Anjali Circles
Chicago
IL
+1 (555) 839 6705
6335 Anjali Circles
Chicago
IL
Phone
p +1 (555) 839 6705
Experience Experience
Houston, TX
Risk Reporting Manager
Houston, TX
Pollich, Kunde and McCullough
Houston, TX
Risk Reporting Manager
  • Reporting: Drive the reporting in Excel (forecasts, head count reports and risks reports)
  • Projects: Participate in projects with strategic impact (including options to lead specific initiatives)
  • Coordination: Coordinate activities and requests across the different businesses and the international locations within Global AM
  • Defining risk metrics across the various 2 Lines Of Defence (2LOD), risk type control functions within IRRM
  • Designing and automating the production of risk reports, in partnership with the Risk Centre of Excellent (CoE)
  • Defining and implementing processes, for Resolution Trust Company (RTC) Intelligence-led reporting and escalation
  • Defining risk aggregation models for IRRM in partnership with Operational Risk Management (ORM)
Detroit, MI
Group Risk Reporting Manager
Detroit, MI
Beatty LLC
Detroit, MI
Group Risk Reporting Manager
  • Develop and maintain a strong external professional network to keep abreast of external developments (this includes attending Industry Forums and other events)
  • Work with regional teams to continuously improve group wide risk reporting
  • Take ownership of and establish procedures to monitor and ensure adherence to risk appetite and the ERM Framework within the business
  • Establish and maintain highly effective working relationships with all key internal stakeholders
  • Detailed review and challenge of the content provided by the key stakeholders
  • Continuously improve the content and process for producing the risk reports
  • Support the development, communication, implementation and engagement across all three lines of defence
present
San Francisco, CA
Treasury Risk Reporting Manager
San Francisco, CA
Senger LLC
present
San Francisco, CA
Treasury Risk Reporting Manager
present
  • Work with Risk Management and Treasury in support of the Interest Rate Risk results attestation process
  • Work with various disciplines to ensure correct model implementations and validate expected results
  • Provide ad-hoc support and analysis
  • Work with Businesses and ALM to ensure correct model implementations and validate expected results
  • Monitor, report, and communicate limit usages and excesses and implement any corrective actions decided by Treasury and Independent market risk
  • Prepare monthly ALCO decks containing interest rate risk metrics for US and LATAM risk taking units
  • Build relationships with key internal and external stakeholders
Education Education
Bachelor’s Degree in Personal Initiative
Bachelor’s Degree in Personal Initiative
Illinois State University
Bachelor’s Degree in Personal Initiative
Skills Skills
  • Excellent organisational skills and the ability to work to and manage a team to deadlines,
  • Excellent written and verbal communication skills, and ability to deal with colleagues/clients of all levels
  • Analytical skills with a control focus and high regard for attention to detail
  • Strong client and partner relationship abilities
  • Strong appreciation of operational risk concepts,
  • Strong MS office skills
  • Committed and self-motivated individual who can demonstrate initiative & problem solving abilities
  • Critical thinking in order to challenge processes, solve for ad hoc queries and creativity to suggest alternative approaches
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15 Risk Reporting Manager resume templates

1

Retail Credit Risk Reporting Manager Resume Examples & Samples

  • Bachelor’s degree or an equivalent combination of education and related work experience
  • 12years of specific experience in designated LOB/Function
  • 5years of leadership experience working with a direct and/or matrix team
  • Experience in financial services industry
  • Experience in business intelligence and resource management
2

VP-derivatives Risk Reporting Manager Resume Examples & Samples

  • 3 - 5 years experience in a related field
  • A proven ability to deliver service excellence in dynamic environments through a combination of effective management, problem recognition and teamwork
  • Advanced MS Office Skills including the ability to analyze data using MS Excel, Plan using MS Project etc
  • Knowledge of GAAP accounting policy and Risk management is preferred
  • Knowledge of Basel II/III(including US Final Rule and CRD IV) and the impacts on Bank capital requirements (preferred but not required)
3

VP-secured Financing Transactions Risk Reporting Manager Resume Examples & Samples

  • Bachelor’s degree required. MBA is a plus
  • Clear ability to analyze complex processes and data
  • Ability to be driven by, and to respond to, goals with minimal supervision
  • Experience in intensive data analysis with the aid of Spreadsheets and Business Intelligence
  • Strong ability to comprehend Citi’s Risk and Financial systems and processes
  • Knowledge of Credit exposure for various risk types – Loans, Derivatives, Security Financing Transaction, Securitization and Equities (preferred but not required)
  • Knowledge of Basel II/III(including US Final Rule and CRD IV) and the impacts on Bank capital requirements (preferred but not required
4

Senior VP-risk Reporting Manager Resume Examples & Samples

  • Work with the Global Head of GS and the OTRM leadership team to support the goals and objectives of the organization
  • Maintain a robust data analysis and reporting framework for the collection of KRI data from multiple risk sources to assist in the evaluation of metrics and identification of data trends
  • Assure the integrity of data through effective quality assurance and credible challenge
  • Identify areas for improvement and ensure continuous verification and monitoring is performed through metric trending analysis
  • Evaluate and continuously enhance the data collection, management and reporting process to identify efficiency and automation opportunities
  • Manage human resources and budget for the KRI Reporting function
  • Draft internal and external communications and reports as required
  • The right candidate will be a strategic thinker, a creative problem solver, and a quick study with a keen ability to grasp the concepts and objectives behind Operational Risk Management
  • Capacity to anticipate requests from Senior Management and work proactively to develop solutions beforehand
  • Prior experience in developing and presenting documentation and communications which are presented and utilized by Senior Management across large-scale organizations
  • Executive presence with a track record of interfacing with and presenting results to Senior Management
  • Proven ability to work independently, requiring minimal supervision when appropriate, and effectively in a complex environment with multi-location team structure
  • Must have intellectual curiosity and process rigor
  • Experience in quickly creating mocked-ups, management reports, dashboards or advanced visualizations that tell a coherent story
  • Ability to drive optimal reporting and user experiences, measured in terms of usability, intuitiveness, consistency, business metrics and time to market
  • Ability to envision and transform complex interactions into simple reporting interfaces across multiple platforms and systems
  • 5+ years experience in reporting, interaction design and data visualization
  • 3+ years of management or leadership experience
  • Minimum: BS/BA degree. Preferred: MA/M.Sc.//MBA degree in User Interface/Experience Design, Computer Science or similar discipline
  • Experience in Capital Markets, Banking or Finance
  • Risk Management experience preferred
  • Excellent references
5

Risk Reporting Manager Resume Examples & Samples

  • Reporting: Drive the reporting in Excel (forecasts, head count reports and risks reports)
  • Projects: Participate in projects with strategic impact (including options to lead specific initiatives)
  • Coordination: Coordinate activities and requests across the different businesses and the international locations within Global AM
6

Commercial Bank Risk Reporting Manager Resume Examples & Samples

  • Oversight on monthly / quarterly aggregate Global Commercial risk reports produced
  • Lead projects that will enable more consistent and transparent risk reporting across all Commercial Bank businesses
  • Actively liaise with other credit risk reporting teams to understand and assess trends and relevant issues
  • 8-10 years of relevant risk and/or finance experience
  • Strong interpersonal and leadership skill with managerial experience in the past
  • Strong presentation, written and verbal communication skills
  • Experience with Citi’s internal systems, MIS and processes, a strong plus
  • Strong organization skills with willingness to take initiative and learn quickly
  • Strong knowledge of MS Excel and MS Access
7

Liquidity & Credit Risk Reporting Manager Resume Examples & Samples

  • Producing regulatory and board level reports on a daily, weekly and quarterly basis including: Liquidity Coverage ratio (LCR), Net Stable Funding requirements (NSFR), Maturity Mismatch reports, Asset Encumbrance ratio and Liquidity Buffer
  • Working closely with the Head of Liquidity Risk and senior management team, providing input to the strategic development of the division including ILAAP dashboards and reporting processes
  • Implementing and performing liquidity stress testing
  • Reporting to the Asset and Liability Committe (ALCO) and Group Risk Committee and acting as a liaison for the Central Bank of Ireland (CBI) as appropriate
8

Treasury Risk Reporting Manager Resume Examples & Samples

  • Ensure successful implementation of RUBY for accrual interest rate risk reporting, working with Risk Manager, Finance and Technology teams to identify data sources, ensure data accuracy and completeness, and explain differences between the current accrual risk measures and the dynamic interest rate risk measures in RUBY
  • Engage with members of Treasury, ALM, Independent Market Risk and Finance to explain drivers of variances in interest rate risk measures on a weekly and monthly basis
  • Prepare monthly presentations on accrual interest rate risk metrics for Citigroup ALCO, Citibank, N.A. ALCO, and Board of Directors meetings
  • Validate cash flows and metrics wherever required to isolate problems with models and analytics
  • Identify potential process improvements and capabilities to increase consistency, transparency, and reliability of accrual interest rate risk reporting
  • Work with Businesses and ALM to ensure correct model implementations and validate expected results
  • Build relationships with key internal and external stakeholders
  • 6 years+ experience in the financial services industry; risk experience preferred
  • Ability to understand different aspects of the Banking Book Exposures and knowledge of Interest Rate Risk
  • Experience with Deposits or Capital Markets instruments in Modelling, Valuation or Market Risk Management is preferred
  • Experience with QRM, Sungard, Summit, or Yield Book preferred
  • Ability to handle pressure and produce reports accurately and quickly to meet tight deadlines
  • Must be a team player with strong written, verbal, and interpersonal skills
  • Experiencein excel based spreadsheet modelling, VBA , SQL and Powerpoint. Additional programming knowledge and advanced Excel skills a plus
  • Highly motivated with the ability to multi task productively
9

Ccar-review & Challenge Risk & Reporting Manager Resume Examples & Samples

  • Develop, maintain and manage guidance, policy, templates designed to promote the review and challenge function across finance areas
  • Establish and perform an effective business as usual platform for on-going review and challenge of CCAR and capital adequacy efforts
  • Develop Establish and perform an effective business as usual platform for on-going review and challenge of CCAR and capital adequacy efforts
  • Develop appropriate training and educational materials for senior management and Board members on tools and approach for effective review and challenge
10

Ccb-risk-reporting Manager / Architect Resume Examples & Samples

  • Work and consult with the CCB functions & segments to establish a standardized process, infrastructure, and governance model for Risk management and regulatory reporting
  • Drive and lead CCB Risk Businesses towards a centralized reporting infrastructure and operating model that support all LOB and CCB level reporting
  • Provide direction and support to data quality, technology, and other functional teams (Finance, Risk, and Operations)
  • 5-7 years experience in risk management, control management, audit or similar discipline
  • Excellent communication skills(verbal and written), including ability to succinctly advise senior management of risks, challenges and potential solutions
  • Change management and/or organizational effectiveness skills and experience a plus
  • Process orientation and ability to structure and map processes and develop, track and monitor process metrics and effectiveness
  • Ability to work in a highly dynamic environment with changing and multiple priorities
  • Strong analytical skills and writing skills, to include solid experience in writing functional and technical specifications
11

Regulatory Capital Risk Reporting Manager Resume Examples & Samples

  • Responsible for the preparation and review of Basel reports for senior management
  • Explain monthly and quarterly movements through business, attribute and/or methodology changes
  • Development of variance and trend analysis and further resulting deep dives into the results
  • Support of Internal and External Audit reviews and ad hoc queries related to RWA
  • Prepare support for management’s analysis and presentations related to Basel, RWA (risk weighted assets) and CCAR analysis
  • Work with various businesses to understand the impact of regulatory mandates around Basel, CCAR and other stress testing initiatives
  • Identify, streamline and automate processes for effectiveness and efficiency
  • Develop tools to help the businesses understand the impact of regulatory capital requirements and forecast capital usage given certain strategies
  • Liaise with Risk, Finance, Operations and Technology teams to provide guidance, gather information and ensure specific project tasks will be completed on time
  • Prepare ad-hoc and standardized reports per the needs of the business and technical users
  • A minimum of 8-12 years of relevant experience at a financial services company
  • Strong understanding of Credit, Market, and/or Operational Risk in banking and financial services environments, preferable from Global Systemically Important Banks (GISBs)
  • Experience in RWA Risk Reporting specific to CCAR, FFIEC, Call Reports or Other Financial Reporting for FRB/FDIC or OCC
  • Minimum 5 years of experience with business process and data analysis
  • Strong organization, process and reporting skills
  • Must display exceptional problem solving, critical thinking and analytical skills
  • Displays a proven ability to multi-task to meet time-driven goals
  • Develop a strong working relationship with Risk, Finance, Operations and business counterparts across the organization to optimize results
  • Bachelor’s degree or equivalent in Business, Finance or related fields, MBA a plus
  • Background in the following is a plus
12

Valuations & Risk Reporting Manager Resume Examples & Samples

  • 4+ years of Valuation & Risk Reporting experience; 3+ years of Financial Reporting experience; 1+ year of Energy Transactions Modeling experience
  • Master’s Degree in a Business-related field
  • Strong knowledge of Energy Risk Management and Contract Valuation techniques
  • Previous experience with Budgeting / Forecasting / Planning, Due Diligence, Mergers and Acquisitions, Modeling, Trend Analysis, and Model Validation,
  • Solid quantitative skills
  • Degree in Finance
  • Expertise in FEA, Allegro, ZEMA and especially Lacima
  • Familiarity with Risk Management Compliance
  • Experience working for one of the major utility companies
13

Risk Reporting Manager Resume Examples & Samples

  • Defining risk metrics across the various 2 Lines Of Defence (2LOD), risk type control functions within IRRM
  • Designing and automating the production of risk reports, in partnership with the Risk Centre of Excellent (CoE)
  • Defining and implementing processes, for Resolution Trust Company (RTC) Intelligence-led reporting and escalation
  • Defining risk aggregation models for IRRM in partnership with Operational Risk Management (ORM)
  • Researching and modelling business processes criticality, including dependencies on internal support functions, external vendors and counterparties
  • Playing an active role in further developing the function, identifying analytical models for optimisation, and developing best practice methods
  • Designing and implementing the risk reporting platform, for both metric-based and intelligence-led themes that channels risk information to the IRRM Executive Committee and to other senior Stakeholders in Risk
  • Assisting the IRRM risk type Owners in developing risk metrics, that link to risk appetite, policy and controls standards against the 2LoD blueprint
  • Building and maintaining relationships with a number of other 2nd line functions and central Risk functions
  • Liaising with the Risk CoE and the Berlin IRRM team to automate risk reporting activities
14

Treasury Risk Reporting Manager Resume Examples & Samples

  • Prepare monthly ALCO decks containing interest rate risk metrics for US and LATAM risk taking units
  • Engage with members of Market Risk, Treasury, FP&A, and Finance to explain drivers of variances in interest rate risk measures
  • 6+ years experience in the financial services industry; experience in an ALM or Interest Rate Risk analysis or forecasting role in Risk, Treasury, or Finance preferred
  • Experience in excel based spreadsheet modelling, VBA , SQL and Powerpoint. Additional programming knowledge and advanced Excel skills a plus
15

Fri-treasury Risk Reporting Manager Resume Examples & Samples

  • Work with various disciplines to ensure correct model implementations and validate expected results
  • Work with Risk Management and Treasury in support of the Interest Rate Risk results attestation process
  • Identify potential process improvements and capabilities to increase consistency, transparency, and reliability of interest rate risk reporting
  • Provide ad hoc support and analysis
  • 4-6 years experience in the financial services industry with a track record of managing a team; experience in an ALM or Interest Rate Risk analysis or forecasting role in Risk, Treasury, or Finance preferred
  • Must show a high level of dedication to information integrity and producing detailed and high quality output within set timeframes
  • Experience in excel based spreadsheet modelling, VBA , SQL and PowerPoint. Additional programming knowledge and advanced Excel skills a plus
  • Must be a team player with strong written, verbal, and interpersonal skills, and the ability to build and maintain relationships at all levels across departments and centers
16

Risk Reporting Manager Resume Examples & Samples

  • Fluent English
  • Minimum 7 years of total experience in MIS reporting, risk or analytics functions
  • Very good understanding of business financial performance drivers and the impacts of credit performance on business results
  • Understanding of credit policies (GCCRFP) and its impact to MIS reporting
  • Strong interpersonal skills & excellent team player
  • Self-starter / Innovative & forward thinking
  • Strong credit risk background and Global policies knowledge
  • Excellent understanding of consumer lending products
  • Able to lead teams and clearly communicate deliverables
17

CCB Risk Reporting Manager / Architect Resume Examples & Samples

  • Develop best practice reporting policies, procedures and standards for all CCB level reporting especially around management, regulatory and Basel Capital reporting
  • CCB Risk and Technology teams to ensure timely delivery of the projects
  • Coordinate support staff from the business to support Reporting Governance, Quality Control, Attestation, and Reconciliation
  • 5-7 years’ experience in risk management, control management, audit or similar discipline
  • 4-year college degree required; advanced degree a plus
  • Experience with analytical and reporting technologies such as SAS, Cognos and/or Business Objects
  • Significant business operational knowledge, preferably with a financial institution and specifically consumer business lines
  • Strong interpersonal skills to build effective, collaborative, cohesive relationships
  • Strong organizational skills and the ability to drive complex projects, including data challenges, across multiple lines of businesses or functional groups
  • Governance, controls and audit management skills and experience a plus
  • Project Management, Change Management and/or organizational effectiveness skills and experience a plus
  • Ability to proactively identify risk and control issues within a business and across different business lines and recognize issues that may require escalation and special handling
  • In depth knowledge of Risk Reporting, MIS and Ad hoc capabilities to support Risk retail product, portfolio, management and regulatory reporting
  • Experience setting up test scenarios
  • Experience/understanding of business process reengineering and business modeling concepts, business systems development and analysis
18

Risk & Reporting Manager Resume Examples & Samples

  • Minimum three to five years’ experience in a similar role within the Risk Management or Reporting teams at a financial institution
  • Prior experience of working with IT and Technology teams to turn user reporting and process-automation requirements into robust final products
  • Experience working with large and diverse data sets. Logical aptitude to map relationships within data, create insightful reports
  • Proficient in Microsoft Excel. Some experience or willingness to commit to learning basic database programming is a must
  • Detail oriented with appreciation for maintaining meticulous documentation
  • Degree in Finance or Engineering is required. Graduate degree (Masters or MBA) strongly preferred
19

Finance Risk Reporting Manager Resume Examples & Samples

  • Supporting senior management in terms of roll out of Firm mandated Risk programs and in establishment of appropriate governance framework
  • Review Finance silo risk reporting produced by Mumbai and Glasgow teams
  • Assist global colleagues in execution of various streams of operational risk related work ( RCSA, SOX, InfoSec, BCP)
  • Member of the Global FinRISC team, contributing to the development, design and direction setting of the function and it’s work streams
  • Managing the production of Finance silo risk reports and analysis of risk information and metrics
  • Partnering with colleagues and internal clients on various risk related initiatives
  • Strong appreciation of operational risk concepts, with 4+ years of relevant experience
  • Excellent organizational skills and the ability to work to and manage a team to deadlines,
  • Critical thinking in order to challenge processes, solve for ad hoc queries and creativity to suggest alternative approaches
20

CCB Risk Reporting Manager Resume Examples & Samples

  • Elicit requirements by engaging the appropriate users and stakeholders in requirements gathering sessions using various methodologies including use case analysis, and business process analysis, and workflow modeling
  • Interface with the business on functional aspects throughout the project/product lifecycle. Liaise with business sponsors to understand business priorities and objectives
  • Translate business needs into requirements that can be understood by application development teams
  • Define new business processes or changes to existing business processes as necessary to support the integration of new products and services into our existing multi-platform business model
  • Document and manage the completion of functional requirements; obtain sign-off for functional requirements from necessary parties
  • Provide subject matter expertise to the development and test teams throughout the project lifecycle
  • Partner with Product Management counterparts to ensure that the functional requirements deliver on the business objectives defined in project charter/business case
  • Provide support to Product Management and the business in measuring and improving performance of products, systems, and processes where possible
  • Work across the organization to develop products and processes that deliver value to the business and merchants
  • Collaborate with Technology counterparts to convey business and functional requirements using various artifacts including context diagrams, data models, workflows, use cases
  • Employ various tools and techniques for scope definition, organizational impact analysis, business process mapping, and requirements definition
  • Assist in defining measurable success criteria, developing and reviewing documented test plans, and coordination of UAT
  • Create mockups and field level specifications when necessary to define specific reports, screens or other application functionality
  • Engage in the appropriate processes to ensure compliance with policies, procedures and compliance mandates
  • Create and maintain documentation on components, applications, and multi-platform products as part of each project
  • Recommend technical and process improvements where possible to improve the overall effectiveness or marketability of a product
  • Manage pre and post release expectations; coordinate defect & change requests raised
  • At least 6 years experience in a business analyst or product management role
  • In-depth knowledge of software development, execution
  • Ability to develop and analyze product architecture
  • Ability to analyze market data and develop programs to market products and support the sales effort
  • Experience working directly with payment brands
21

Risk Reporting Manager Resume Examples & Samples

  • Project management and participation in weekly Operating Committee on behalf of Finance
  • Coordinate Operating Committee deliverables for Finance
  • Design and document control framework and KOP's
  • Define and document financial data requirements for calculating EVE stress
  • Define, document and develop reporting and escalation process for EaR / rNII and MtM/OCI
  • Define, document and develop EaR Model Quality Assurance framework
  • Establish IPV framework for Banking Book EVE, document KOP's and reporting and escalation process
  • Establish position reporting processes for rNII/Stress NII, EVE and MtM/OCI
  • 15+ years of experience in broad-based Finance roles with significant exposure to financial products, including IR derivatives
  • Deep understanding of financial statement analysis and accounting for financial products
  • Strong project management skills with a keen ability in managing governance requirements
  • Ability to develop an understanding of the key requirements for IRRBB
  • Familiarity with present value inputs and calculations
22

Finrisc Risk Reporting Manager Resume Examples & Samples

  • Supporting senior management in terms of roll out of Firm mandated Risk programs and in establishment of appropriate governance framework
  • Review Finance silo risk reporting produced by Mumbai and Glasgow teams
  • Perform monitoring and review activities over incidents, issues and action plans logged in FinRISC owned tools
  • Perform data analysis for identification of thematic issues and escalate, suggest remediation as appropriate
  • Partner with colleagues and internal clients on various projects, for example improve the collection, monitoring and reporting of risks and key risk indicators
  • Participate in efforts for process standardization, short-term tactical improvements and longer term strategic initiatives to enhance metrics reporting processes
  • Assist global colleagues in execution of various streams of operational risk related work ( RCSA, SOX, InfoSec, BCP)
  • Member of the Global FinRISC team, contributing to the development, design and direction setting of the function and it’s work streams
  • Managing the production of Finance silo risk reports and analysis of risk information and metrics
  • Assisting and supporting team members and global colleagues in development of enhanced reporting and improved risk mitigation initiatives
  • Partnering with colleagues and internal clients on various risk related initiatives
  • Ad hoc duties as required
  • Strong appreciation of operational risk concepts,
  • Excellent organisational skills and the ability to work to and manage a team to deadlines,
  • Analytical skills with a control focus and high regard for attention to detail
  • Strong MS office skills
23

Group Risk Reporting Manager Resume Examples & Samples

  • Take ownership of and establish procedures to monitor and ensure adherence to risk appetite and the ERM Framework within the business
  • Ensure the timely production and distribution of the risk reports to a high quality standard
  • Continuously improve the content and process for producing the risk reports
  • Detailed review and challenge of the content provided by the key stakeholders
  • Validate the quality and consistency of the data reported and oversight the data sourcing and analysis
  • Support the planning and efficient logistics of the risk committees, including review of minutes and tracking of actions
  • Maintain and improve documentation describing processes and technical details and requirements to produce the reports
  • Contribute to updating internal policies and ERM inventories, taxonomies, minimum standards
  • Design and develop new reports as required
  • Work with regional teams to continuously improve group wide risk reporting
  • Review and challenge the inputs received from group and region stakeholders
  • Prepare and review supporting presentation, documentation and material for meetings
  • Support the successful implementation of the ERM system in collaboration with all key stakeholders including the first line of defence
  • Support the development, communication, implementation and engagement across all three lines of defence
  • Establish and maintain highly effective working relationships with all key internal stakeholders
  • Develop and maintain a strong external professional network to keep abreast of external developments (this includes attending Industry Forums and other events)
  • Undergraduate degree level education (or equivalent) in a numerate discipline
  • A CA/ACA or risk management qualification with at least 3 years post-qualification experience
  • Prior experience within the financial services industry is essential
  • Operational and financial risk experience preferable, operational risk experience essential
  • Understanding of risk management at the enterprise level
  • Understanding of the ISO 310000 framework and a keen interest in industry and regulatory developments
  • Excellent written and verbal communication skills including superior report writing
  • Strong organizational, analytical and interpretative skills with the ability to meet deadlines together with a high degree of personal initiative
  • Proven strong stakeholder management and communication skills
  • Excellent PC skills including sound working knowledge of reporting and data management software. B-Wise software experience preferable
  • Prior work experience in an international regulatory and operating environment
24

MI & Risk Reporting Manager Resume Examples & Samples

  • Playing a key role in influencing the long term strategy for control development through operational insight and presentation of ideas and suggestions to Head of Risk Governance and any other key stakeholders
  • Understanding of the technical change lifecycle and supporting control frameworks
  • Advanced experience of Banking conduct risk management
  • Advanced experience of banking operational risk management including completion of RCSA (Risk Control Self-Assessment)
25

Risk Reporting Manager Resume Examples & Samples

  • Risk Management: NAIC ORSA – Assist the CRO in working with risk owners, senior- and SGP&C-management to ensure thorough and timely delivery of annual fillings summary
  • Risk Reporting and Monitoring: Assist the CRO in developing enhanced risk reporting and monitoring capabilities to improve and support legal entity, management and Board awareness, both qualitatively and quantitatively
  • Group Standards and Policies: Ensure legal entity adherence to Group and Division ERM-related standards and policies through Internal Controls (ICS) to maintain an effective control environment. Together with process owners, ensure process-related risks are identified and assessed, documented in accordance with standards set by the Group and P&C Division, whilst meeting specific local requirements like Model Audit Rule
  • ERM Culture & Training – Lead training efforts for staff to raise ERM awareness for BCP, Cyber and related efforts
  • ERM Framework – Support Group Risk Management in respect of the development and further improvement of the Group ERM Framework and related systems and processes. Assist in adopting and promoting the Group ERM Framework where appropriate for local needs
  • Member of the following committees: e.g. Audit committee, Investment Committee etc
  • None internally. Externally, the successful candidate will be expected to participate in a number of industry working groups and committees and could potentially represent SCOR at similar events by making presentations
  • 10+ years of experience in insurance or related field, with hands on involvement related to internal and external compliance, audit and Risk Management Framework components
  • Broad knowledge of the insurance environment and solvency rules across various regulatory regimes in the Americas
  • Proven ability to work as part of a small and efficient team, both as a leader and as a member
  • Ability to conduct presentations and training in front of colleagues
  • Technical proficiency with MS Office, Visio and Project
  • Strong familiarity with Solvency II a plus
  • Proficiency with MS Office. R, Res-Q, MATLAB or other related software a plus