BRCM is a risk and control management function primarily responsible for ensuring that risks in Markets Operations are being managed within risk appetite. It is a global, and cross asset-class, function that works closely with Global and Line Operations management in ensuring that our key controls are adequate in mitigating our material risks.
Risk and Control focused with a rigorous approach to controls and the minimization of operational risk
- Ability to self-evaluate own outputs and implement improvements
- Aptitude for continuous improvements and operational effectiveness with ability to identify issues / inefficiencies and realise solutions
- At least 3-5 years previous experience in a risk / control environment (or similar) within an Investment Bank/Financial Institution
- Strong knowledge of, or prior exposure to Global Markets products and associated post trade operational processes
- Good understanding of end-to-end trade lifecycle of typical OTC Derivative products
- Technical understanding of how systems deliver regulatory reports, and Trade Repository limitations and behaviours
- Excellent written and verbal communication skills
- Ability to quickly build rapport with wide range of Global stakeholders
- Strong Stakeholder Management abilities, particularly with senior management
- Experienced in working with virtual / global teams and functional management
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