We are on an exciting journey to improve the quality, control, and accessibility of our risk and business data to enable timely, well-informed financial risk decisions across Market, Interest Rate, Credit, and Liquidity risk. This role is ideal for candidates with 2+ years of banking experience in key financial risk environments who are curious, organized, and comfortable partnering with stakeholders. The selected candidate will help ensure that financial risk data is clearly defined, understood, and used consistently across the organization. They will partner with stakeholders across respective risk stripes to document data meaning, ownership, and controls; identify data quality issues or risks; and support improvements to data quality and transparency for financial risk processes and reporting.
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Job Type
Full-time
Career Level
Mid Level