Sr. Analyst - GIO - Risk & Compliance

T. Rowe Price GroupBaltimore, MD
136d$85,000 - $145,000Remote

About The Position

The Sr. Analyst - GIO - Risk and Compliance sits within Service Provider Management supporting the operational risk management program for Global Investment Operations (GIO) to ensure that sound practices and procedures are in place across all GIO locations and processes globally along with GIO's contracted third party service providers. This position works with business partners throughout Enterprise Risk, procurement, and GIO, including Investments Middle Office and Fund Accounting. Responsibilities include planning, implementation, and monitoring of compliance and risk management requirements across internal and third-party processes. In this high-visibility role, the Sr. Analyst works on a variety of complex issues and requests and acts as the liaison to Investments, Legal & Firm-wide Compliance, auditors, third party service providers and regulators to mitigate compliance/risk-related concerns. Additional areas of focus include incident management and reporting, business continuity, data privacy, and access controls. The Sr. Analyst will report to the Lead Manager - GIO Service Provider Management and is part of the GIO - Shared Services organization which works broadly to support multiple functional teams in Global Investment Operations.

Requirements

  • Bachelor's degree or the equivalent combination of education and relevant experience.
  • 5+ years of total relevant work experience.

Nice To Haves

  • Relationship management experience.
  • Prior Investment Operations, Middle Office, or Operational Risk experience.
  • Strong communication skills.
  • Inclusive mindset.
  • Comfortable balancing multiple tasks on a growing team.

Responsibilities

  • Supports the effectiveness of the risk function within a business line.
  • Applies advanced understanding of the design and operating effectiveness of internal controls to advise the business line on executing the risk program.
  • Evaluates existing processes, identifies control gaps, and recommends treatments for any gaps found within a business line.
  • Develops reports and delivers these to management.
  • Monitors compliance across the business line.
  • Reports risks caused by business activities to senior staff.
  • Evaluates potential courses of action to address complex issues identified and recommends solutions.
  • Works with internal auditors when assigned business line is audited and reports on treatment of control gaps that are being put in place.
  • Manages and coordinates updates to common language sections in the reporting and ensures alignment to other reporting groups and regulatory framework.
  • Ensures consistent and appropriate presentation of content within reports.
  • Contributes to efforts to develop a strong organizational risk culture and applies risk management techniques to assigned business line.

Benefits

  • Competitive compensation.
  • Annual bonus eligibility.
  • A generous retirement plan.
  • Hybrid work schedule.
  • Health and wellness benefits, including online therapy.
  • Paid time off for vacation, illness, medical appointments, and volunteering days.
  • Family care resources, including fertility and adoption benefits.

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What This Job Offers

Job Type

Full-time

Career Level

Mid Level

Industry

Funds, Trusts, and Other Financial Vehicles

Education Level

Bachelor's degree

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