DescriptionFirst Derivative is a global leader in consulting, business services and technology. We are the home for diverse thinkers and innovators. We know that our people are vital to our success, and we are proud of the diverse and vibrant team we have built across the globe. We are committed to hiring top talent, creating an environment where they can thrive, and recognizing and rewarding their dedication as they progress within the company.
We have an excellent opportunity for a motivated Risk Analyst to join our Global Practice.
Core Responsibilities
Represent the Global Investment and Finance systems sub-division, globally, on both Regulatory and Risk projects and in the establishment of a BaU function as part of the broader Enterprise Risk Management engagement within Technology.
Work with 2nd and 3rd line Risk teams to manage and oversee risk management across the sub-division.
Work with central Risk teams to understand enterprise risk processes and methodologies and assist in the embedding of these within the sub-division.
Assist Sub-division in creation and maintenance of Top Risks
Work with Department Heads on managing their risks including regular MI and insights.
Assist in completion of RCSA for departments and sub-division as required.
Able to provide input and critique to control processes applied within the Sub-division and more broadly the Division and Enterprise.
Feed into regional Risk Forums representing the sub-division service to the local user base.
Be an active participant in any on-going and up-coming Regulatory and Risk projects.
Work with the Regulatory Project office and other teams to ensure future regulatory changes are well understood and socialised across the sub-division.
Own the collation and formal response to regulatory asks requiring input from the Global Investment and Finance systems sub-division.
Design and establish the framework for maintenance of evidence of compliance
Act as the single liaison point with both internal and external audit functions as required.
Qualifications
Minimum five years related work experience within the Risk Management Domain
Detailed understanding of Technology function and operation, specifically the development and support of applications in the Investments and Finance arena.
Undergraduate degree in related field or equivalent combination of training and experience.
Work Experience in the Financial Services field, asset management preferred.
Strong attention to quality and accuracy, good written and verbal communication skills.
Ability to work closely with teams across a global function in multiple geographical regions.
Comfortable working with senior leaders across the sub-division and more broadly across the enterprise.