Head of Financial Risk Reporting, VP - State Street
New York, NY 10261
About the Job
As Head of Financial Risk Reporting you will:
• Lead the Implementation of the Financial Risk Reporting Framework and appropriate Operating Model to support delivery
• Collaborate with Data Stewards and Owners to ensure appropriate quality of management information
• Lead development of reporting processes and controls to ensure compliance with all internal and external regulations/requirements
• Facilitate partnerships across State Street functions to ensure appropriate collaboration across teams
• Support Risk Officers in development of ongoing reporting requirements
• Drive enhancements of reporting processes to meet various regulatory requirements globally
• Partner with IT to deliver reporting architecture enhancements to drive long term priorities
• Participate in strategic planning to ensure team priorities are delivered
• Provide overall Reporting coordination and governance across Financial Risk globally
What we value
These skills will help you succeed in this role:
• Strong analytical and quantitative mindset; ability to take ownership and improve on existing risk processes
• Strong communication skills working and coordinating across multiple teams and constituencies
• Strong understanding of information technology and Business Information and Analytics tools to enhance reporting processes and architecture
• Process improvement and BAU efficiency expertise
• Energetic/motivator: an enthusiastic individual with proven leadership skills and an ability to motivate a diverse, multi-level workforce and instill a sense of urgency on a range of evolving goals and objectives
• Organizational strengths: an ability to organize resources, processes and priorities to ensure business needs are met in a coordinated, responsive and timely manner, with minimal direction
• Confidence: a self-assured, experienced and knowledgeable individual able to quickly garner support for his/her views based on informed, well-presented direction or analysis, with a willingness to negotiate, and concede, when needed
• Communicator: clear, confident, self-assured communication style, coupled with an ability to react and adapt to various audiences and environments without diluting effectiveness
Education & Preferred Qualifications
• 7+ years of relevant experience in Risk in a financial institution
• Demonstrated experiences implementing new processes
• Demonstrated reporting and analytical experience
• Deep understanding of Financial Risk and relevant underlying data
• Bachelor degree required, Master degree in Finance or Economics a plus
Salary Range:
$125,000 - $200,000 Annual