Director, Corporate Controllers, Reporting & Accounting

Morgan StanleyNew York, NY
$115,000 - $155,000Onsite

About The Position

Morgan Stanley Services Group, Inc. is seeking a Director, Corporate Controllers, Reporting & Accounting in New York, New York to interpret regulatory rules and requirements, identify gaps in current implementation, and develop plans to address those gaps. Design, execute, and enhance governance and controls to support FRTB/Basel III Endgame and Basel 2.5 compliance. Review Firm activity and prepare materials covering regulatory governance. Prepare materials for regulatory reporting and quality assurance, internal and external audits, and regulatory reviews to demonstrate compliance. Lead agile delivery of regulatory compliance initiatives by aligning stakeholders, defining and prioritizing requirements, tracking progress against timelines, managing issues, and providing status updates to senior stakeholders.

Requirements

  • Requires a Bachelor’s degree in Business Administration, Finance, or a related field of study. Employer will accept 3-year or 4-year Bachelor's degree.
  • Requires two (2) years of experience in the position offered or two (2) years as an Associate, Analyst, or a closely related occupation
  • Requires two (2) years of experience with Market Risk regulatory frameworks and global regulators including Federal Reserve Board (FRB), Office of the Comptroller of the Currency (OCC), Securities and Exchange Commission (SEC), Prudential Regulation Authority (PRA), Federal Financial Supervisory Authority (BaFin), Financial Supervisory Service (FSS), to interpret and apply Basel 2.5, Basel III Endgame, and the Fundamental Review of the Trading Book (FRTB) rules across firm activities.
  • Requires two (2) years of experience with Banking Book versus Trading Book boundary requirements and the Covered Position Rule.
  • Requires two (2) years of experience with Fixed Income and Equity products, valuation principles, and mark‑to‑market concepts to interpret trading Profit and Loss (P&L) behavior and Market Risk outcomes.
  • Requires two (2) years of experience with P&L attribution analysis including identification of key market drivers and interpretation of risk sensitivities.
  • Requires two (2) years of experience with Value-at-Risk (VaR) methodologies including Historical Simulation, Monte Carlo Simulation, and Hypothetical P&L (Clean P&L) derivation.
  • Requires two (2) years of experience with Value‑at‑Risk (VaR) Backtesting performance to assess Market Risk model accuracy and impacts on regulatory capital multipliers and Internal Models Approach (IMA) eligibility under Basel 2.5 and Fundamental Review of the Trading Book (FRTB).
  • Requires two (2) years of experience with Financial Greeks including Delta, Vega, Gamma, and Theta, and their impact on Market Risk exposures and P&L behavior.
  • Requires two (2) years of experience with Regulator‑facing submissions and internal and external audits including attestation support and preparation of analytical and governance materials.
  • Requires two (2) years of experience with designing and enhancing Market Risk governance and control frameworks and managing regulatory change initiatives using agile project management including planning, issue remediation, cross‑functional execution, and status communication and escalation.
  • Requires two (2) years of experience performing regulatory control analysis, automating processes, and producing audit‑ready reporting and governance evidence in Market Risk compliance environments using Excel including VBA, Alteryx, and Power BI.

Responsibilities

  • Interpret regulatory rules and requirements, identify gaps in current implementation, and develop plans to address those gaps.
  • Design, execute, and enhance governance and controls to support FRTB/Basel III Endgame and Basel 2.5 compliance.
  • Review Firm activity and prepare materials covering regulatory governance.
  • Prepare materials for regulatory reporting and quality assurance, internal and external audits, and regulatory reviews to demonstrate compliance.
  • Lead agile delivery of regulatory compliance initiatives by aligning stakeholders, defining and prioritizing requirements, tracking progress against timelines, managing issues, and providing status updates to senior stakeholders.
  • Develop, implement, and execute Market Risk controls.
  • Perform regulatory control analysis, automate processes, and produce audit-ready reporting and governance evidence in Market Risk compliance environments using Excel including VBA, Alteryx, and Power BI.

Benefits

  • Commission earnings
  • Incentive compensation
  • Discretionary bonuses
  • Other short and long-term incentive packages
  • Morgan Stanley sponsored benefit programs
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