Senior Business Risk & Control Officer at BCPM LC&I TxB & Tribes
at Danske Bank
1060 København, Region Hovedstaden, Denmark -
Start Date | Expiry Date | Salary | Posted On | Experience | Skills | Telecommute | Sponsor Visa |
---|---|---|---|---|---|---|---|
Immediate | 01 Dec, 2024 | Not Specified | 04 Sep, 2024 | 5 year(s) or above | Good communication skills | No | No |
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Description:
Would you like to combine Risk Management expertise with Product Governance and work as a subject matter expert with a special focus on Transaction Banking for Large Corporates & Institutions? This is an opportunity to do so and gain an extensive international network across the Danske Bank Group!
We are looking for a Senior or Chief Business Risk & Controls Officer, who will be a significant contributor to coordinating the work of the Business Controls and Product Management (BCPM) for Transaction Banking & Tribes area, a part of the Large Corporate and Institutions (LC&I) unit. The purpose of BCPM is to support, advise and assist the bank’s business units in mitigating risks related to products, processes, and services across different risk areas/disciplines to bring value to customers and society.
As Business Risk Officer, you will ensure that risk events are captured, assessed, and adequately managed. In addition, you will participate to the ongoing development of the overall risk framework. A great opportunity to work closely with front, middle and back offices as well as policy functions.
You will:
- Advise business stakeholders on the identification, assessment, and management of key risks within their areas. Our team covers Regulatory and Operational risks including Conduct risks
- Act as a primary contact for key business stakeholders and other BCPM teams on risk matters and be their sparring partner on day-to-day risk issues
- Establish yourself as a pivotal risk partner for process and product owners, enabling them to navigate through the complexities of risk governance and risk management requirements
- Support and advise the business on managing Internal Audit and Compliance observations
- Maintain in-depth and ongoing knowledge of key regulations and best industry practices for managing Regulatory and Operational risks, including driving risk awareness
- Be involved in Compliance monitoring reviews and Group Wide Risk Assessments (GWRA) within the Regulatory and Conduct risks area ensuring that Regulatory risk and Customer Impact are identified and appropriately rated and managed
- Deliver high-quality risk assessments to support compliance and strategic goals across new and existing products
- Support the Business in the implementation of relevant Policies and Instructions
About you:
- You have an analytical mind-set, high focus on execution and a structured approach with high attention to detail and the ability to adapt quickly to changes
- You can positively engage stakeholders at all levels of seniority
- You have a high degree of integrity and a solid work ethic with effective time management and prioritisation skills
- A minimum of 5 years of experience working with risk, compliance, or other related areas, from financial institutions or consultancy
- Experience with regulatory and/or operational risk management as well as Enterprise Risk Management frameworks is seen as an advantage
- Advanced English skills
We offer:
Responsibilities:
Please refer the Job description for details
REQUIREMENT SUMMARY
Min:5.0Max:10.0 year(s)
Financial Services
Banking / Insurance
Finance, Business Analytics
Trade Certificate
Professional certificates); 100+ professions for internal mobility opportunities.
Proficient
1
1060 København, Denmark