DescriptionYou will join Asset Management Risk Management team, which works to improve client outcome by evaluating the marketplace for challenges. Risk Managers actively observe risks across various disciplines and dynamically monitor portfolios through customized regional frameworks. Active and open communication with portfolio managers and senior management allows for timely decision making to improve client experience. The various disciplines of risk our team covers include Investment Risk, Liquidity Risk, Counterparty Risk, Sustainable Investing Risk, Fiduciary Risk, Operational Risk and Reputational Risk.
As a Sustainable Investing Risk Vice President in Asset Management Risk team, you will be responsible for leading the risk management functions in the Sustainable Investing Risk discipline, including the development of new framework to govern and oversee ESG and Climate related initiatives, products, and businesses. You will help the firm grow its business in a responsible way by anticipating new and emerging risks, and by using expert judgement to solve real-world challenges that impact our company, clients & customers, and communities.
Job responsibilities
- Designs and implement sustainable risk governance and oversight frameworks for Asset Management at the second line
- Stays up-to-date with regulatory changes as related to Sustainable Investing and ESG; partner cross different functions globally to ensure regulatory requirements are met in a scalable way
- Monitors and reviews ESG and sustainable investing risk across different lines of business and products
- Tracks updates related to industry developments and proactively monitor market events that can create significant impact to our business
- Collaborates with stakeholders across lines of businesses and functional groups to meet global ESG and sustainability oversight and governance needs
- Takes responsibility for data and analytical rigor, accuracy and completeness
- Offers dynamic initiatives to liaise with the business as well as other control and oversight functions
- Leads the regular risk escalation and analysis for senior management, boards, and regulators
- Represents Risk in various governance forums and new business initiatives
- Initiates and manages projects end-to-end
Required qualifications, capabilities, and skills
- Excellent verbal and written communication and presentation skills, with ability to present risk exposures and the appropriate risk management actions to internal groups, clients, boards, senior management and regulators
- Highly motivated and hands-on individual, with work experience related to ESG and sustainable investing or risk management a plus
- Strong analytical skills with ability to understand and explain complex concepts
- Demonstrates strong project management skills
- Attention to detail and takes personal responsibility to ensure that works are delivered with the highest quality standards
- Innovative in problem solving, and challenges status quo proactively
- Ability to multi-task at working on multiple initiatives
- Acts and owns initiatives end-to-end to fulfil objectives with minimum supervision