Role Description:
.Minimum 10+ years of experience in Banking and Financial Services, with significant experience in Risk & Control, Regulatory Compliance, Governance, or Operational Risk Management.
Proven experience managing large-scale Risk & Control initiatives, regulatory remediation programs, audit findings, and control enhancement projects across multiple business functions.
Strong understanding of banking risk frameworks, including Operational Risk, Regulatory Compliance, Internal Controls, Governance, Issue Management, and Control Testing.
Experience working with regulatory requirements and industry standards, including collaboration with Compliance, Audit, Legal, and Regulatory Affairs teams.
Demonstrated ability to lead complex projects through the full project lifecycle, including planning, requirements gathering, execution, governance, risk management, and stakeholder communication.
Strong expertise in identifying, tracking, mitigating, and reporting project risks, issues, dependencies, and control gaps.
Excellent stakeholder management skills with the ability to collaborate effectively across Risk & Control, Regulatory, Compliance, Technology, Operations, Finance, and Business teams.
Experience preparing executive governance materials, steering committee updates, regulatory reporting, and project status communications for senior leadership.
Ability to translate business, regulatory, and control requirements into actionable project plans, milestones, and deliverables.
Strong knowledge of project management methodologies, including Agile, Scrum, Waterfall, and Hybrid delivery models.
Experience managing cross-functional teams, coordinating resources, and ensuring timely execution of project deliverables.
Demonstrated success in driving control remediation, process improvements, and regulatory compliance initiatives within banking environment