Description
We are seeking a
Risk Analyst to join our team in Vancouver, British Columbia. This role will be pivotal in our Financial Services sector, where you will be tasked with managing enterprise risk and regulatory compliance. This position offers a long-term contract employment opportunity.
Responsibilities
- Facilitate Risk & Controls Self-Assessments (RCSA), Compliance Assessments, and Business Impact Analysis (BIA) processes.
- Engage in discussions with Business Teams across the organization to identify, understand, and document risks, controls, and business processes.
- Manage the Risk Management and Compliance platform.
- Develop an understanding of our Enterprise Risk Management Policy and Risk Appetite Statement.
- Support the development of policies, procedures, standards, and guidelines that adhere to defined corporate standards and requirements.
- Support our Insurance Program by collecting underwriting data from the businesses and working with the insurance broker.
- Assist in the preparation of risk assessment reports, presentations, and graphs/charts for Senior Management and the Board.
- Support the ERM Team with analysis and formatting of templates and frameworks.
- Liaise with other teams to support the development and enhancement of ERM.
- Handle day-to-day insurance program requirements such as obtaining certificates of insurance and foreclosure reporting.
Requirements
- Proficiency in Risk Management is a vital requirement for this role.
- An understanding of Regulatory Compliance within the financial sector is essential.
- Excellent communication skills, both written and verbal, are crucial to effectively relay risk assessments and strategies.
- A Bachelor's degree in finance, economics, statistics, or a related field is desirable.
- The candidate must be able to work effectively both independently and as part of a team.
- Familiarity with international risk exposure and global financial markets is a plus.
- Proficiency in data analysis and interpretation is essential for this role.
- The role requires staying updated with relevant financial regulations and standards.
- Knowledge of financial forecasting models and risk assessment strategies is necessary for this role.
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