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For this reputable investment bank we are looking for an AVP level Operational Risk Reporting Manager. You'll be joining the Non-Financial Risk (NFR) Portfolio Management teams, which has the mandate to govern and administer the Group NFR Profile to enable proactive oversight and management of the Bank's NFR Profile, by NFR Committee, Management Board and Risk Committee of the Supervisory Board. The NFR Portfolio Management team is responsible for the aggregation, quality assurance and reporting of risk, control and event information.
Assisting in the preparation of decision-preparing material for governance
Identifying opportunities and assist to streamline and automate report production
Providing input into the design and enhancement of existing reports which are provided to various functions and fora within the Bank
Facilitating response for adhoc NFR data requests from senior management / regulators
Quality Assurance data inputs for NFR Reporting
Monitoring developments within NFR Portfolio at Group level (e.g. loss themes, Risk Metrics, Findings and other contextual information)
Engaging with NFR management, NFR Coverage teams, Risk Type Controllers and Business Risk Management (BRM) to provide outcomes / insights from portfolio analytics to support 2nd Line of Defence governance and challenge
Building relationships across the business and work with senior management to perform ongoing oversight within the department
Skills & Qualifications:
Educated to Bachelor's degree level or equivalent qualification/relevant work experience
Management Information and Reporting/ data management experience
Good understanding of risk management frameworks
Strong capability in contextual analysis, exploratory analytics, visual analytics and predictive analytics
Proficiency in all Microsoft Office Applications
Excellent communication skills, both written and verbal
Internal Number: 6114615
About Alexander Ash GmbH
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