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AVP, Lead Capital Management, Clusters Vacancy for MBA at Standard Chartered

AVP Lead Capital Management Clusters Vacancy  MBA Standard Chartered
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Standard Chartered invited applications for the post of AVP, Lead Capital Management, Clusters

Job Summary

Risk Management

• Candidate needs to be able to articulate the Capital metrics and drive the discussion with Senior stakeholders across Finance, Risk, Treasury and Business to meet the requirements. Provide Consultation/Support in dealing with business queries relating to Capital metrics , all other internal and external capital regulatory reports

Governance • Monitor and ensure that appropriate Change governance is followed across all transformation initiatives. Represent the function at the governance forums in place for tracking change initiatives and influence decisions in respect of the change backlog, prioritisation, choice of technology tools and the operating model. Regulatory & Business Conduct • Display exemplary conduct and live by the Group’s Values and Code of Conduct. • Take personal responsibility for embedding the highest standards of ethics, including regulatory and business conduct, across Standard CharteredBank. This includes understanding and ensuring compliance with, in letter and spirit, all applicable laws, regulations, guidelines and the Group Code of Conduct. • Effectively and collaboratively identify, escalate, mitigate and resolve risk, conduct and compliance matters.

Key stakeholders • GPO/GPM, Capital CoE • Group Regulatory Reporting – Head and Reporting Leads • Credit and Market Risk functions – Functional Heads and Leads • Capital Technology and PSS – Head and Leads across PSS and Technology • Capital Change Management - Head and Leads across Capital Change • Country Regulatory Reporting – CFO, Financial Controller and Country Leads

Skills and Experience

• Strong functional content across Basel framework (Basel II, III and IV); Capital metrics computation and methodologies, with key drivers • Good understanding on Banking Products and able to co-relate to Risk Weighted Assets / Regulatory Reporting • Candidate must be familiar with the use of SQL to interrogate and extract the data for analysis. • SAS and/or Python knowledge is an added benefit • Candidate must be familiar with regulatory requirements for data management - BCBS 239 and PRA requirements • Stakeholder engagement (across geographies) • People leadership and management • Technical skills like Advanced Excel (including macro) and Python / R • Knowledge on Balance Sheet Management systems like Moody’s, Oracle, QRM

Qualifications

• MBA (Fin) or Master’s in finance / Accountancy / Economics or affiliated subjects; Undergraduate degree in Science / Engineering / Commerce. • Chartered Accountant: Risk Management or related Professional Certification will be an added advantage. • Minimum of 14 years of Capital Regulatory Reporting. • Strong knowledge of Capital regulations and metrics; Proficient in analytics to drive deep understanding of Capital; Collaboration mindset; able to deliver solutions to improve BAU. Job Location: Bangalore For more details and to apply, click here Anusree Rajeevan

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