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AVP, Enterprise Risk Management-NY
4 months ago
Thriving global investment management firm is seeking an Associate Vice President (AVP) to join the Enterprise Risk Management (ERM) team in New York. The ERM team strives to execute sound risk management strategies in support of the firm. To achieve this, ERM partners broadly across internal stakeholders to identify, assess, mitigate, and monitor current and emerging risks. The interaction with numerous groups and the range of projects that ensue provide for a meaningful and multi-faceted work environment.
The AVP will help administer and scale the firm's ERM program. This will entail working closely with ERM team members and collaborating cross-functionally to implement and deliver all components of the enterprise risk framework, including risk identification, measurement, analysis, monitoring and response recommendations. This individual should have a curiosity to learn and ability to analyze data while elevating the ERM program. Must be a strong communicator, excited to work cross-functionally across business divisions and the ability to execute on aligned priorities.
Responsibilities
- Work alongside team members to implement and enhance robust risk processes and tools as part of the enterprise risk framework
- Partner with investment and business operations teams across the platform to assist with risk identification, assessment, mitigation and monitoring of key enterprise risk exposures
- Monitor, analyze and report on key counterparty risk metrics
- Collaborate with various stakeholders to develop risk response plans for select risks
- Drive the automation of existing manual processes by creating tools and other technology solutions
- Conduct detailed reviews of internal/external risk events and summarize lessons learnt
- Maintain the internal risk database, produce dashboard reporting, prepare meeting materials, and assist with ad-hoc initiatives to meet evolving stakeholder expectations
- Stay informed on industry trends, developments and leading practices to advance our ERM program
Qualifications
- Bachelor's degree in Business Administration, Finance, Economics, or a related field from an accredited university
- 5–7 years of relevant work experience in investment management, banking, or financial services consulting
- Strong understanding of the alternative investment management business, risks and trends
- Strong understanding of enterprise risk management concepts (e.g., risk identification and measurement, risk appetite and limits, risk mitigation and response)
- Strong understanding of credit/counterparty/liquidity/market risks and metrics
- Prior experience with Tableau/Power BI/SQL a plus, but not required
- Risk and control attitude: ability to ask incisive questions, converge on critical matters, escalate issues
General Requirements:
- Strong organizational, documentation, analytical, presentation, and communication skills (written and verbal)
- Ability to work in a fast-paced and dynamic environment, often requiring fast solutions to complex problems
- Ability to successfully manage several priorities and competing demands, strong time management and prioritization skills
- A self-directed individual with a can-do attitude, willing to work in an energetic and collaborative setting, proactive in nature, and a proven ability to learn quickly, display flexibility and adaptability while resolving issues with minimal direct supervision
- An analytical mind and a passion/interest in bringing new insights to increase efficiency of existing processes
- Good judgment in terms of raising issues vs. solving problems independently
- Outstanding social skills and strong client focus
- Dependable, highly motivated and a great teammate
- Strong work ethic and high level of integrity
- Willingness to take on new projects and learn new skills