





Strong Tier-1 brand, metro hiring locations, and broad skill requirements increase candidate competition.
Role is highly specialized in capital markets operations and controls, so background fit sensitivity is high.
Explicit 11–13 years and mandatory capital markets controls experience make shortlisting highly strict.
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Manage global Governance and Oversight programs including Self-Inspection Program, compliance mandates, and Information Security controls across Corporate Investment Banking Operations.
Lead execution of risk and control initiatives, manage global Book of Work coordinating US, UK, and India alignment, and drive data-driven insights on risk and compliance to senior leadership.
Facilitate process risk reviews, control testing, incident and issue management, and collaborate with cross-regional stakeholders to maintain operational risk frameworks and governance standards.
Bachelor's degree with coursework in Financial Markets or related field.
11-13 years of relevant experience in Capital Markets Operations, Compliance Surveillance, or Controls within Corporate Investment Banking.
Strong knowledge of derivatives, FX, equities, and fixed income products with hands-on trade lifecycle operations experience (static data, confirmations, settlements, reconciliations, investigations).
Experience with Operational Risk Management frameworks such as RCSA, Incident Management, Issue Management, Control Testing & Validation.
Experienced professional with deep expertise in Capital Markets Operations and Corporate Investment Banking risk and control functions, particularly in a global, regulated environment.
Demonstrated ability to manage complex governance and compliance programs involving multiple regions including US, UK, and India.
Proven collaborator capable of engaging senior leadership and cross-functional stakeholders to resolve complex operational and risk issues.