
Treasury/Chief Investment Office - Finance Control Manager - Senior Associate
- Jersey City, NJ
- Permanent
- Full-time
- Maintain the CORE Process, Risk and Control inventory, and related risk impact and control effectiveness ratings to provide an accurate reflection of the business' operational risk profile
- Partner with the central testing utility to assess the results of control design and performance evaluations
- Lead top-down risk analysis, real time control issue detection, escalation, root cause analysis and remediation; work with a sense of urgency on emerging issues
- Perform lessons learned analyses on internal and/or external risk events and assess potential weaknesses / identify opportunities for improvement
- Identify meaningful metrics (KRIs/KPIs) as indicators of the operational risk and control environment; escalate control deficiencies based on key reporting indicators; Facilitate change management reviews with Process Owners
- Execute against the requirements of various other firm control and compliance programs, which may include but not be limited to: SOX and CCAR CFO Attestation Program, NBIA/business change management, Office of Legal Obligations, Estimations and Model Risk Management, User Tool, and Intelligent Solutions Control Frameworks
- Partner with colleagues from the LOBs and Functions such as Compliance, Risk, Legal, HR, and Technology to drive consistent and rigorous operational risk and control practices; partner with regional business and other control partners in an effort to create consistency in the control environment and underlying processes globally
- Respond timely to challenges and recommendations from the 2nd Line of Defense (Compliance Conduct & Operational Risk) and 3rd Line of Defense teams (Internal Audit) teams
- Support Regulator and other reviews and escalate inquiries and findings as necessary; contribute items for escalation to the T/CIO Control Committee
- Serve as a trusted controls partner to the Business and act as their go-to for all controls related matters
- Bachelor's degree required
- 5+ years of experience in financial services industry with background in controls, audit, SOX, quality assurance, operational risk management, or bank financial reporting
- Proficiency in Microsoft Office Suite (Word, Excel, PowerPoint)
- Understanding of financial, capital and liquidity reporting including, but not limited to, 10K/Q, FR Y-14, FR Y-9C, LCR, NSFR
- Subject matter expertise in portfolio management, treasury, and related financial and regulatory reporting
- Understanding of banking regulations
- Familiarity or experience with Alteryx or similar data manipulation and workflow automation tools