College degree, ideally in finance/commerce or related field
Operational experience (10+ years) within asset management or regulatory reporting
Strong business knowledge i.e. Investment Banking, including OTC product, process and system knowledge
Thorough and highly analytical
Proactive in motivating changes to increase efficiency while maintaining effective controls
Strong time management and interpersonal skills
Ability to identify, prioritize, and develop practical solutions for issues
Self-motivated with the ability to show initiative
Ability to navigate in-house applications and strong Excel skills
Preferred SQL skills and/or automation
Responsibilities
Deliver on control / task functions and be accountable for its completeness and accuracy
Drive resolution of breaks, collaborating closely with subject-matter experts
Evaluate standard operating procedures, redesign processes, and implement a practical approach to address any deficiencies
Follow escalation processes and act with urgency to mitigate process risk
Monitor control activities to ensure ongoing compliance with G20 regulations and prepare reports for oversight and client attestations
Find solutions to various challenges, think creatively, and voice opinions confidently
Regularly collaborate with collaborators to find common solutions
Provide accurate information to committees and boards
Present detailed information clearly and communicate effectively
Participate in internal and external audits to ensure compliance with G20 regulations, addressing any findings and implementing corrective actions
Drive improvement and automation of oversight controls
Spot checking tasks of team and ensuring any gaps are fixed and advanced in a timely manner
Manage a team responsible for supervising the transmission of reports, ensuring that all reports reach and are accepted by the regulator, reconciling positions to evidence completeness and accuracy of data sent and monitoring compliance and producing accurate metrics