The CRO Change Portfolio Management team works in partnership with Risk Change Leads and key stakeholders to manage the delivery of the Change portfolio. Your role will include: • Providing constant transparency for Program and Portfolio managers on the program/portfolio financials, whilst ensuring accurate financials tracking • Taking part in monthly financial management cycle, including creating financial reports for Program/Portfolio managers, financial slides for various senior forums • Manage and coordinate financial investigation based assignments and ad hoc reporting • Proposing improvements related to financial reporting and automating where possible • An opportunity to work in a fast paced environment and to interact with a broad set of delivery partners, as well as with Senior Management • A dynamic and coordinated working environment providing the opportunities to learn and develop an understanding across a broad range of Risk topics. Your future colleagues The CRO Division is a highly visible, dynamic area of the firm where you can be an integral part of the decision making that supports the bank’s business. Our responsibilities range from Enterprise Risk management to risk and finance reporting, and regional CRO teams covering the risk management for our entities. The Risk Division’s long-term success depends on our ability to achieve our vision and fulfill our mandate. Ultimately, this depends on the skills, experience and engagement of our employees. We offer a collaborative and entrepreneurial environment that offers direct contact with senior management and encourages leadership and challenge at all levels. The CRO Change Portfolio Management team is a growing, diverse and dynamic team working alongside a variety of senior business partners to manage the Portfolio Financials in an agile, high performance and inclusive working environment. We are a department which values Diversity and Inclusion (D&I) and is committed to realizing the firm’s D&I ambition which is an integral part of our global cultural values. You will have 7 years of Financial Services experience with a PMO/Portfolio management background, and with proven examples of where you have personally been accountable for financial management. * Good working knowledge of portfolio and program management processes along with applicable tools (PPM tools) * Good knowledge of program /project financials and planning/budgeting * Support with Data analysis and coordination of MI requests to other parts of the organisation * Proven track record of influencing and relationship management skills across a diverse range of partners, particularly at senior levels and can work with limited direct supervision * Results oriented individual with excellent problem solving skills and attention to details. Ability to manage work effectively under pressure * A good understanding of the Risk domain and objectives of the portfolio delivery etc. would be beneficial * Outstanding ability to apply a logical and analytical thought process to resolving issues * Shown ability to manage work independently and to be effective at prioritizing a varied workload under challenging deadlines * Advanced Microsoft Excel skills and good knowledge of SharePoint and MS Office products will be beneficial * Dedication to fostering an inclusive culture and value diverse perspectives. Job: Risk Management* *Title: *Portfolio Financial Management #185803 Location: India-Pune-Pune Requisition ID: 185803
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