Through our behaviours of telling it like it is, owning it now, and moving it forward together with care and integrity; we are creating an exceptional place to work for exceptional talent.
Knowledge & Skills (Must Have) :
Domain Expertise :
- Understand the Operational Risk Management for Financial Services Industry
- Through understanding of Investment Business is mandatory
- Working expertise on multiple asset classes like Equity, Fixed Income, Derivative, Structure Products, Pvt Assets, Real Estate investments, etc..
- Experience using MetricStream and Cluster 7 is a significant plus
Technical Expertise :
Ability to understand system flows and Interaction between applicationsMicrosoft Office (Excel, Word, PowerPoint etc) skillsMicrosoft Power BI AppsManagerial Expertise :
Will be managing a team of 5 to 7 Asst Managers or Investments AnalystWill be responsible for end to end delivery of a Team managing the business for Investments and OperationsPeople Management and conflict management will be key essential part of the roleStakeholder ManagementMagnitude of Impact :
Strong drive and delivery, committed to achieving results and delivering on timeStrong analytical thinking and a critical evaluator of information / issuesEnd to end ownership of the processes and issue resolutionAbility to interact with Senior Managers / Business Risk Partners on potential issuesStrong understanding of various asset classes to explain the Issue and Impact in detail.Knowledge & Skills (Additional) :
Ability to design controls to mitigate the open riskExcellent written and oral communication and analytical skillsAbility to operate remotely, in a diverse and multi-cultural environment with international work or consultancy exposureCurious and continually looking to seek out improvements and not just accepting the status quoExperience :
Working experience of 12 to 15 years in a Financial Services IndustryExperience in Line 1b / 2nd line in Financial Services OperationsExperience of using Risk Management systems to Manage / Mitigate Non-Financial RiskUnderstanding and strong interpretation of Regulations impacting the Operational RiskExcellent partnership and stakeholder management skills as well as build strong relationships and work collaboratively with teams across the businessExperience of liaising, influencing and negotiating effectively with all internal and external parties and stakeholdersEducational Qualification :
Master’s Degree level in Finance / Mathematics / EconomicsFRM Certification will be an added advantageCFA Qualification will be desirableRelevant IOC or Investment Management qualification / Certification would be desirable.We have a diverse workforce and an inclusive culture at M&G Global Services, regardless of gender, ethnicity, age, sexual orientation, nationality, disability or long term condition, we are looking to attract, promote and retain exceptional people. We also welcome those who take part in military service and those returning from career breaks.