Trwa ładowanie. Prosimy o chwilę cierpliwości.
Przeglądana oferta pracy jest nieaktualna
Brown Brothers Harriman
Data aktualizacji: 2020-07-07
Kraków, małopolskie
Bankowość, Analiza
Data aktualizacji: 2020-07-07
Brown Brothers Harriman
Risk Manager
REKRUTACJA ZDALNA

Oferta pracy jest nieaktualna

Pracodawca zakończył rekrutację na to ogłoszenie

Brown Brothers Harriman (BBH) is a privately-held financial institution and has been a thought leader and solutions provider for almost 200 years. We serve the most sophisticated individuals and institutions with award-winning expertise in Investment Management, Private Banking, and Investor Services. Our 5,000 colleagues operate from 17 cities throughout North America, Europe and Asia..

BBH is committed to diversity, innovation and globalization. Our culture is driven by our goal to provide the best solutions and services to our clients and each other. Our Partnership structure creates a flat organization that promotes collaboration across all business lines. We believe that diverse ideas and the ability to come together globally across groups and borders are a competitive advantage. In order for all our teams to excel, members must trust each other and feel comfortable providing honest input from all perspectives.

As a BBH professional, your career path is yours to define. We take pride in our ability to retain our best employees. We help them manage their careers by moving top performers to new areas of BBH where their talents will make the greatest contribution. As soon as you walk through the doors at BBH, we provide you with the tools to help you succeed and grow your career.

We are currently looking for:

Risk Manager
Risk Manager
Location: Kraków, małopolskie

The Risk Manager assesses and monitors operational and market risks for Service Delivery Products globally. As a manager of a team of analysts, the individual instructs peers and plans, schedules, and coordinates all project deliverables. S/he ensures that risk issues are addressed and resolved in a timely manner.

 

Main Responsibilities:

  • Monitor the local risk profile of specific product (s) and attend local department/product/oversight meetings, providing thoughtful, meaningful, knowledgeable, and actionable advice and support on risk & control items including anti-fraud risks and data protection risks.
  • Propose and perform targeted risk and control reviews of operational processes and workflows; Provide advice, reports and draft actionable recommendations to Investor Services Management to assist in maintaining a strong risk and control structure.
  • Work with the business to ensure the accuracy and completeness of the Risk and Control Self Assessment results and gaps.
  • Provide support to Investor Services with respect to control enhancements and process improvements, and participate in integration and implementation of proposed solutions.
  • Work closely with Investor Services Legal, Compliance and Strategy and Client Solutions to design products and services with risk profiles that are commensurate with BBH firm-wide risk parameters.
  • Provide ongoing feedback and coaching to staff to improve individual and team performance.
  • Provide regular risk management training to Investor Services employees
  • Represent Investor Services department in working groups, business manager meetings, risk management committees and provide guidance over risk matters.
  • Identify, analyze, and report on risk metrics and trends; monitor and review new products, services, activities, processes; lead targeted risk/control reviews; and prepare materials and reports for various risk related projects, working groups and oversight committee meetings. Shape and propose recommendations to mitigate risks identified.
  • Review all incidents and E&Os arising within the Investor Services lines of business to ensure preventative actions mitigate the risk and are implemented effectively and timely.
  • Assess the risk event root cause analysis performed by the business to identify and address any significant control failures as well as assess/validate corrective actions proposed by the business.

 

Requirements:

  • BA/BS degree and/or equivalent work experience.
  • 8+ years of experience in Financial Institutions.
  • Strong communication skills, both oral and written, including presentations.
  • Excellent risk identification, assessment, problem solving and analytical skills.
  • Ability to manage multiple tasks simultaneously, while meeting deadlines
  • Ability to articulate risk management policies and methodologies.
  • Knowledge of operations and/or risk management
  • Knowledge of audit processes, relevant legal and compliance regulations of the Fund industry.
  • Strong interpersonal, relationship, collaboration, and influencing skills.
  • Strong listening, investigative, analytical, and negotiation skills.

 

What We Offer:

  • A collaborative environment that enables you to step outside your role to add value wherever you can.
  • Direct access to clients, information and experts across all business areas around the world
  • Opportunities to grow your expertise, take on new challenges, and reinvent yourself—without leaving the firm.
  • A culture of inclusion that values each employee’s unique perspective.
  • Employment stability with indefinite contract from day one.
  • High-quality benefits program emphasizing good health, financial security, and peace of mind.
  • Rewarding work with the flexibility to enjoy personal and family experiences at every career stage.
  • Volunteer opportunities to give back to your community and help transform the lives of others. 

Osoby zainteresowane prosimy o przesyłanie aplikacji klikając w przycisk aplikowania.

For more information please visit our website www.bbh.com/careers
 
Poziom stanowiska
Kierownik
Poziom stanowiska
Kierownik