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Asset & Wealth Management, Operational Risk, Analyst - Irving, TX

Goldman Sachs
Posted 2 months ago, valid for 8 days
Location

Dallas, TX, US

Salary

Competitive

Contract type

Full Time

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Sonic Summary

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  • The role involves supporting issue identification, analysis, remediation, and reporting in collaboration with business units and executive teams.
  • Candidates should possess a Bachelor's degree in Risk Management, Business, Finance, or a related field, along with a minimum of 2+ years of experience in financial services with operational risk exposure.
  • Responsibilities include analyzing business risks, developing controls, conducting process deep dives, and creating executive reports based on synthesized data.
  • The position requires strong analytical, communication, and organizational skills, as well as proficiency in Microsoft tools such as Excel, Word, and PowerPoint.
  • Salary details are not specified, but candidates with relevant experience and skills will be considered for a competitive compensation package.

How You Will Fulfill Your Potential

  • Support all aspects of issue identification, analysis, remediation and monitoring & reporting, including collaboration with issue owners, aggregation of issues across the business, and facilitation of executive reporting.
  • Analyze potential business risks, process deficiencies, and potential gaps/ weaknesses in risk management standards.
  • Support developing process and controls environment (inventory and maps) across asset management, wealth management and consumer businesses
  • Support process deep dives by reviewing process documentation (process maps, procedures, etc.) to document existing controls and identify control gaps
  • Partner with other business units and support teams to remediate issues and assist with implementation of corrective actions related to control failures and operational risk events
  • Develop executive reporting and other data-driven deliverables, with a focus on providing appropriate content, context, and structure in a precise and timely manner.
  • Gather and synthesize data to perform root cause analysis and determine thematic trends related to issues identified by the business first, second and third lines of defense. 
  • Collaborate with cross-functional teams to resolve operational inconsistencies and enhance controls testing processes.
  • Become a subject matter expert in areas of the operational risk management framework executed across Wealth Management
  • Be a critical thinker: Thoughtful, self-aware, and use available evidence to make decisions.
  • Pro-actively seek out areas to add value 

 

Skills & Experience We’re Looking For

  • Bachelor's degree in Risk Management, Business, Finance or a related field
  • A minimum of 2+ years of experience in a role in financial services with operational risk exposure or audit or broader risk management 
  • Exposure to financial services, operational risk, audit or risk management a plus 
  • Exposure to Wealth Management a plus 
  • Ability to work independently and collaboratively in a fast-paced environment 
  • Experience in risk analysis and management and/or an understanding of regulations and regulatory reform strongly preferred 
  • Analytical and research skills with a demonstrated ability to execute projects from inception through completion
  • Critical thinking, problem solving, organizational and time management skills
  • Exceptional communication and interpersonal skills
  • Ability to work under pressure and manage tight deadlines or unexpected changes in expectations or requirements
  • Effectively manage multiple priorities and work autonomously
  • Good judgment and discretion
  • Experience building reports and presentations. Expert level proficiency in the Microsoft tool suite, including Excel, Word and PowerPoint



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