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Investment Risk & Analytics (IR&A) is responsible for review of Global Wealth Management business. IR&A's Client Risk team is responsible for risk oversight of the Trust and Estates (T&E) business including fiduciary investments, products, control activities, governance, regulations, and best practices. This team provides risk review and deep-dive assessments of Trust and Estates investment and fiduciary activities, metrics, and control activities within the US and International Trust & Estates businesses. You will work closely with other Risk Management colleagues, the Business, and key control functions including Legal, Compliance, Audit, and Control Management, to provide valuable assessment and feedback regarding T&E activities and emergent risks. The Global T&E Risk Executive will be responsible for oversight of investment and fiduciary risks within the US and International Trust & Estates businesses. The T&E Risk Executive is responsible for ensuring that the business understands its investment and fiduciary risks and has robust standards, controls, and practices in place to mitigate these risks which could impact its capital, earnings, reputation, business operations or opportunities. The T&E Risk Executive is responsible for proactively overseeing the business team, as appropriate, and will partner closely with the IR&A team and Trust & Estates management.