





Tier-1 bank, metro location, and common mid-level operations title increase applicant competition.
Specialized capital markets operational risk and trade lifecycle expertise limits cross-industry transferability.
Explicit 6-8 years plus mandatory capital markets operational risk and control testing skills make shortlisting stringent.
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Execute Governance and Oversight (G&O) Self Inspection Program (SIP) including process risk reviews, control testing, and validation within Corporate Investment Banking operations.
Manage incident and risk issue management and produce WFS Operations metrics to support risk governance and business decisions.
Collaborate closely with EMEA teams and senior leadership, contributing to operational risk meetings and metrics strategy development.
6-8 years of experience in operational risk management within Capital Markets or related middle office operations.
Proven skills in incident management, issue management, control testing, RCSA, and risk assessment.
Functional expertise in product classes such as FX, equity, fixed income with understanding of trade lifecycle processes like static data, confirmations, settlements, reconciliations, and investigations.
English proficiency and ability to work night shifts.
Experience working with cross-functional and cross-geographical teams, especially with EMEA business partners, showing ability to manage stakeholder relationships.
Strong understanding of operational risk frameworks, control testing, key risk indicators, and reporting to senior leadership.
Background in Corporate Investment Banking operational risk roles with knowledge of Capital Markets product taxonomies and relevant systems (e.g. GMI, Intellimatch, Imagine, Broadridge, Calypso).