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Risk Management Consultant

2 months ago


Springfield, Massachusetts, United States MassMutual Full time
About the Role

We are seeking a highly skilled Risk Management Consultant to join our team at MassMutual. As a key member of our Advisory Oversight Team, you will play a critical role in managing investment policies for our firm's investment advisory programs.

Key Responsibilities
  • Participate in the maintenance of our firm's advisory program investment policies, guidelines, and operating procedures.
  • Monitor and detect violations of our firm's advisory program investment policies and work independently with advisors, field management, product and support teams to design and implement timely resolutions.
  • Partner with lines of business, Compliance, Supervision, and Law to execute operational and regulatory risk initiatives, including identifying, implementing, and documenting solutions.
  • Participate in the implementation of initiatives with greater complexity that benefit the greater Wealth Management organization.
  • Draft, review, and implement policies and operational procedures to support the advisory oversight team and lines of business stakeholders.
  • Demonstrate the ability to effectively communicate with registered representatives, including agency personnel, as well as internal business partners such as Compliance, Field Inspection, and Regional Supervisory Directors.
  • Prepare and deliver analyses, reports, and presentations to management.
  • Stay current on regulatory and industry matters relevant to the MassMutual Wealth Management line of business.
Requirements
  • 5+ years of financial services, banking, insurance, or regulatory experience.
  • Bachelor's degree.
  • FINRA Series 7 & 24 at time of application or must obtain within 180 days.
  • 2+ years' experience with investment programs, portfolio management, financial risk management, and analysis.
  • 2+ years' experience in project management, implementing regulatory requirements or process enhancements.
Preferred Qualifications
  • 8+ years of financial services, banking, insurance, or regulatory experience.
  • MBA or PMP certification.
  • FINRA Series 7 & 24 at time of application.
  • Chartered Financial Analyst (CFA) or working toward attainment.
  • Strong knowledge of investment advisory products, security types, and how they work, asset allocation, and portfolio construction.
  • Solutions and detail-oriented, organized, critical thinking, and decision-making are a must.
  • Ability to work independently, multi-task, and manage daily responsibilities with project work.
  • Strong verbal and written communication skills; ability to build relationships vertically in the organization.
  • Strong interest in doing more and moving up in responsibilities and visibility.
  • Exposure to investment advisers, financial planning concepts, sales practices, and regulations.
  • Direct experience managing the identification, solution design, and implementation of new regulatory requirements, processes, and/or high-level operational procedures.
  • Direct experience with risk, compliance, or supervision practices in financial services or with a regulator.
  • High-level critical thinking with a problem-resolution mindset.
  • Exceptional organizational, analytical, problem-solving, and communication skills.
About MassMutual

MassMutual is an Equal Employment Opportunity employer. We value diversity and inclusion in the workplace and are committed to creating a welcoming environment for all employees. If you need an accommodation to complete the application process, please contact us and share the specifics of the assistance you need.