Jobs Companies MUFG AVP, Non-financial Risk Management

Über diese AVP, Non-financial Risk Management Stelle bei MUFG

MUFG · Vor Ort · Toronto, ON

Do you want your voice heard and your actions to count?

Discover your opportunity with Mitsubishi UFJ Financial Group (MUFG), one of the world’s leading financial groups. Across the globe, we’re 150,000 colleagues, striving to make a difference for every client, organization, and community we serve. We stand for our values, building long-term relationships, serving society, and fostering shared and sustainable growth for a better world.

With a vision to be the world’s most trusted financial group, it’s part of our culture to put people first, listen to new and diverse ideas and collaborate toward greater innovation, speed and agility. This means investing in talent, technologies, and tools that empower you to own your career.

Join MUFG, where being inspired is expected and making a meaningful impact is rewarded.

Overview

We are seeking a risk and control professional to support ongoing risk management, control testing, assessment activities, and regulatory compliance efforts. This role is responsible for assessing risk profiles, executing control and self-assurance activities, coordinating testing initiatives, supporting remediation efforts, and partnering with stakeholders to ensure controls are designed and operating effectively in accordance with bank policies, procedures, and regulatory requirements.

The ideal candidate will have experience in risk management, compliance, audit, or control functions within a highly regulated environment. Successful candidates will possess strong analytical, problem-solving, project management, and stakeholder management skills, along with a solid understanding of financial institution operations, regulatory requirements, risk frameworks, and control assessment methodologies.

Responsibilities:

  • Provide ongoing assessment of the risk profile through regular monitoring and status reporting of risk issues and initiatives.
  • Execute front line controls, self-assurance, and risk assessment activities (ad hoc controls review, risk control self-assessment (RCSA), and independent risk and audit activities as directed.
  • Partner with stakeholders, including process owners and control officers, to document controls, enhance control language, and develop/maintain test scripts that validate controls are being performed in compliance with bank policies, procedures, and regulatory requirements to mitigate risk to the firm.
  • Coordinate control testing activities, including logistical scheduling and document retrieval to support control testing in accordance with internal requirements.
  • Prepare written reports that summarize the objectives, scope, findings, and conclusions for each assigned review.
  • Provide project management support in tracking and coordinating the execution of policy and one-off or periodic projects/assignments.
  • Create synergies by identifying opportunities to repurpose control testing results to satisfy assessment requirements across the bank.
  • Conduct iterative review and challenge of assessment results, working with appropriate stakeholders across the lines of defense.
  • Promote non-financial risk requirements across the bank to ensure awareness and adherence.
  • Coordinate the timely completion and submission of Risk Policies and Risk Appetite Statements.
  • Contribute to and support the implementation of remediation plans as directed.
  • Contribute to risk analysis and risk mitigation recommendations.
  • Draft commentaries for governance forums such as committees to provide an overview of analysis of delegated non-financial risk activities and risk assessment results.

Qualifications:

Work Experience

  • Solid experience in a risk and control or audit function, and compliance required, preferably in a financial institution or other highly regulated environment.
  • Demonstrable experience with and knowledge of regulations applicable to the banking and finance industry required.
  • Experience with risk assessment/testing methodologies evaluating the adequacy and efficiency of internal controls, and identifying issues resulting from internal and or external compliance examinations.
  • Experience with process documentation, risk, and control assessments (RCSA) and designing/executing test scripts.
  • Experience with problem solving in a team environment by thinking outside of the box, providing innovative solutions, with and without technology.
  • Understanding of financial institution businesses, processes, products, and risk.
  • Understanding of processes necessary to produce accurate periodic reporting (e.g., data reconciliations, data governance, review, and approval, etc.).
  • Experience using Microsoft collaboration tools such as SharePoint and Teams or working in a project management environment.
  • Cyber Risk / audit experience preferred.

Functional Skills

  • Experience with process documentation, risk and control assessments, and designing/executing risk reporting, preferred.
  • Risk management experience including evaluating the adequacy and efficiency of internal controls, and identifying issues.
  • Experience with enforcement agencies; oversight activities (regulatory examinations, etc.).
  • Knowledge of Canadian and international banking regulation such as OSFI E-21 (operational risk management and resilience), OSFI B-10 (Third-Party Risk Management), OSFI B-13 (Technology and Cyber Risk Management).
  • Understanding of industry best practices and frameworks such as: Committee of Sponsoring Organizations of the Treadway Commission (COSO), COBIT, National Institute of Standards and Technology (NIST)-800-53, Cybersecurity Horizontal Reviews, and ITIL in complex environment.
  • Ability to identify signs of changing risk levels.

Foundational Skills

  • Communicates effectively.
  • Identifies multiple paths to success using analytical and critical thinking as well as decision-making skills.
  • Exercises sound judgement, prioritizes effectively, and strives for continuous improvement.
  • Effectively collaborates with colleagues.
  • Leverages available technology to drive efficiency and results.
  • Understands and applies industry trends and best practices.
  • Exhibits optimism, resilience, flexibility, and openness to others' ideas.
  • Values learning as a lifelong professional objective.
  • Engages inclusively and with intent.
  • Always acts with integrity.
  • Iterative problem-solving.
  • Serving as a trusted advisor.
  • Excellent analytical, organizational, and conceptual skills.
  • Strong work ethic, ability to make decisions and work under tight deadlines; achievement-oriented and takes initiative.
  • Strong project management skills; includes an ability to independently drive work, and pragmatically solve problems.

Education

  • Degree or equivalent work experience equally preferable.
  • Degree in business or finance with coursework in areas of operations, risk and/or compliance, audit.

The job description and related application pertains to an opportunity with either MUFG Bank, Ltd., Canada Branch (“MUFG Bank Canada”) or MUFG Securities (Canada), Ltd. (“MUFG Securities Canada”). The job description relates to the general nature, scope, quantity and quality of work contemplated for the position. Other duties and responsibilities not specifically described may be assigned from time to time, consistent with knowledge, skills and abilities of the incumbent. The receipt of an application by either MUFG Bank Canada or MUFG Securities Canada, as applicable, does not imply or guarantee employment.

Each of MUFG Bank Canada and MUFG Securities Canada is an equal opportunity employer.

• As a federally regulated entity, MUFG Bank Canada is required to comply with applicable laws which prohibit discrimination based on protected grounds and which require accommodation to individuals in accordance with the requirements outlined in the Canadian Human Rights Act and the Canada Labour Code. Where MUFG Bank Canada obtains information relating to protected grounds under the Canadian Human Rights Act as part of the application process, it does so to monitor and otherwise evaluate its own compliance with such legislation and associated regulatory requirements; MUFG Bank Canada does not use such information for decision making purposes relating to the position contemplated in this application.

 

• As a provincially regulated entity, MUFG Securities Canada is required to comply with applicable laws which prohibit discrimination based on protected grounds and which require accommodation to individuals in accordance with the requirements outlined in the Human Rights Code (Ontario) and the Employment Standards Act (Ontario). Where MUFG Securities Canada obtains information relating to protected grounds under the Human Rights Code (Ontario) as part of the application process, it does so to monitor and otherwise evaluate its own compliance with such legislation and associated regulatory requirements; MUFG Securities Canada does not use such information for decision making purposes relating to the position contemplated in this application.
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Über MUFG

At MUFG, our colleagues are our greatest assets. Our Culture Principles provide a roadmap for how each of our colleagues must think and act to become more client-obsessed, inclusive and innovative. They reflect who we are, who we want to be and what we expect from one another. We are excited to see you take the next step in exploring a career with us and encourage you to spend more time reviewing them! Our Culture Principles Client Centric People Focused Listen Up. Speak Up. Innovate & Simplify Own & Execute

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