Contract Duration: 6+ Months
Required Skills & Experience
- Bachelor's/University degree.
- 3 to 10+ years of experience in Third-Party Management, with knowledge of assessing third party risk and associated control requirements within a global financial services organization.
- 5+ years of experience in project management, process improvement, change management, governance, and technology within regulated and complex environment.
- Comprehensive understanding of third-party risk lifecycle management concepts with specific emphasis on inter-dealer brokers, financial markets infrastructure and commodity third party suppliers.
- Excellent communication and interpersonal skills, including the ability to effectively interact with and influence management and lines of defense partners.
- Strong planning and organizing skills with the ability to manage and prioritize responsibilities through the effective use of time management and organizational techniques.
- Energetic with a proven record for risk management innovation, design, and technology with proven success implementing large-scale initiatives.
Desired Skills & Experience
- Related certifications (CPA, ACA, CFA, CIA, ACCA, CISA or similar).
What You Will Be Doing
- Drive the completion of third-party risk assessments partnering with Market Business Activity Owners and internal functions.
- Promote and deliver continuous training and awareness of the program to the Markets Business.
- Identify, monitor, track and escalate issues requiring remediation.
- Ensure the program expectations are met and exceeded including relationships being captured in a centralized inventory and risk assessments being performed in a timely and accurate manner.
- Build and maintaining an excellent relationship with Markets Business Activity Owners, Enterprise Third Party Management, Operational Risk Management and other stakeholders.
- Assist in creating and submitting timely Governance updates on progress against plan, key issues identified and escalating accordingly.