Director - Business Risk and Control Manager (Wealth Management)
Morgan Stanley
Morgan Stanley Wealth Management provides access to a wide range of wealth management products and services for individuals, businesses and institutions to deliver services and solutions that help build, preserve and manage wealth. These services include brokerage and investment advisory, financial and wealth planning, credit and lending, cash management, annuities and insurance, retirement and trust.
Business Risk Management
The Business Risk Management team is responsible for implementing the product risk and control framework supporting several businesses- Outsourced Chief Investment Office, Morgan Stanley Portfolio Solutions, Global Investment Manager Analysis, and Global Investment Office. This requires close coordination with support partners such as Product teams, Operations, Technology, Compliance and Legal to identify and assess operational risks and implement controls and processes.
Position Summary
Business Risk Management is seeking a candidate for Risk Management and Internal Controls. This position is responsible for partnering with business units to ensure continued adherence to the risk and control framework and provide ongoing risk management support.
Primary responsibilities include supporting Business Risk Officer(s) in the following areas:
- RCSA Coordination - Assist in coordination with risk owners in the business to continue to enhance the risk and control self-assessment to ensure that risks and controls are documented around current supervisory processes and test the supervisory process to ensure coverage is adequate.
- Examination Management- Assist in coordination with internal/external auditors, compliance and central RCSA testing teams to ensure that the business is adequately prepared for all reviews. Track the status of open risks identified by internal/external audit, compliance and central RCSA testing teams and work with each action owners to identify the best resolution to remediate controls or mitigate risk.
- Risk Incident Monitoring - Assist in analyzing incidents and determine firm, advisor and/or client impact. Conduct a mini front-to-back analysis of incidents to determine if an enhancement is needed to a function/process/control and ensure that operational risk incidents are properly posted to and processed through the Risk Incident Tracking Application (ReCap).
- Risk Identification - Assist in planning and performing internal reviews of procedures and controls residing within various product and business areas to ensure that controls are adequately designed and are operating effectively in preparation for all audits, compliance exams, and regulatory inquiries.
- Risk Mitigation - Proactively engage appropriate stakeholders and partners to lead the implementation of enhanced processes and controls build-out for any identified control gaps or opportunities for enhancement.
- Management Reporting - Develop reporting and effectively and timely communicate risk management issues and internal control deficiencies to BRM Management with properly vetted and proposed solutions.
- IT Project and Risk Management - Manage certain aspects of the pipeline of IT projects for certification through partnering with management and various PMO groups and ensure that IT projects are appropriately assessed for risk ratings. Engage the Business Unit Information Security Officer (BUISO) team when information security risks are identified.
- Vendor Management, EUC, User Entitlements - Participate in review and monitoring of these areas to ensure compliance and timely response to inquiries and/or testing.
Qualifications
- At least 6-9 years of relevant risk experience
- Undergraduate degree in business, finance, accounting or other related fields
- Audit and RCSA experience preferred
- Business Process and Operational control environment experience preferred
- Strong understanding of Compliance and Audit practices
- Knowledge of IT Security controls
- Demonstrate an understanding of the financial services industry, Outsourced CIO function, Portfolio Management, Investment Solutions products and services (e.g., mutual funds, closed-end funds, alternative investments) and global capital markets (e.g., fixed income, equities and structured products)
- Ability to take initiative, analyze, summarize, and communicate effectively orally and in writing
- Strong interpersonal skills - ability to work with various professionals and levels of management across departments
- Excellent organizational skills, ability to manage multiple tasks and meet assigned deadlines
- Ability to work independently and within teams, promote teamwork and demonstrate sound reasoning and judgment.
- Strong working knowledge of MS Office (Microsoft Word, Excel (including pivot tables, vlookups, etc.) and PowerPoint))
Morgan Stanley is an equal opportunities employer. We work to provide a supportive and inclusive environment where all individuals can maximise their full potential. Our skilled and creative workforce is comprised of individuals drawn from a broad cross section of the global communities in which we operate and who reflect a variety of backgrounds, talents, perspectives, and experiences. Our strong commitment to a culture of inclusion is evident through our constant focus on recruiting, developing, and advancing individuals based on their skills and talents.