Senior Manager, Market Risk Reporting, Systems, Data & Controls
-
Sydney
Responsibilities:
- Undertake the analysis of reported results and process issues as instructed by the Executive Manager, Reporting, Systems, Data and Controls
- Ensure procedures are documented with particular focus on the User Designed Applications which form the backbone of the reporting tools
- Review APS 116, Pillar 3 and ASX returns
- Governance of Market Risk Data Forum
- Review the bank's Annual and Semi Annual traded market risk data and commentaries.
- Ensure adherence to the traded market risk prudential standards, calculation and reporting of regulatory capital (APS 116), ASX and Pillar 3 reporting
Requirements:
- Excellent tertiary qualifications within the financial or other-wise relevant domain i.e. Economics, Commerce, Finance etc.
- At least 5 years' experience within a financial risk environment
- Strong knowledge of Market Risk along with associated systems and infrastructure
- Strong knowledge of prudential reporting requirements
- Experience in data quality management
- Experience in developing & maintaining system and process controls
For further information about this opportunity please contact Olivia on 0409 356 856 or simply click APPLY.
IMPORTANT: By submitting your email address and any other personal information when you APPLY to a job, you consent to such information being collected, held, used and disclosed in accordance with our COLLECTIONS NOTICE and PRIVACY POLICY.
http://www.bluefinresources.com.au/privacy-policy
Reference Number: BBBH38420_158102829152510
Reference Numbe:
Contact Details: Olivia Newham