Finance & Risk Manager Resume Sample

4.6
16 votes
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Nels Watsica
305 Jean Path,  Phoenix,  AZ
+1 (555) 497 8334

Work Experience


Finance Operational Risk Manager
07/2016 - PRESENT
Houston, TX
  • Develop and manage operational risk and risk-related policies, as well as reviews and coordinates with business areas to develop function specific risk policies to ensure compliance with the Operational Risk Policy and Framework
  • Manage operational risk management communications, training, documentation, procedures and processes
  • Conduct risk and control assessments on a regular basis to ensure the function meets corporate standards that specifically relate to internal operating controls. Assist in updating controls, policies, procedures, and risk/control documentation
  • Develop project plans, determine scope, lead projects and verify deliverables with stakeholders. Interpret results and present findings and recommendations
  • Serve as a liaison between Finance Risk Management and LOB/functional areas to facilitate timely and accurate communication with other risk-focused parties, including Corporate Operational Risk Management, Model Risk Management, SOX Program Management, SunTrust Audit Services and External Auditors
  • Perform other tasks and projects as assigned by the Finance Risk Director
  • Lead the Australian and New Zealand Credit team in the provision of credit terms to prospective and existing clients supporting the GTM teams to meet and exceed business goals across ANZ
  • The implementation and enforcement of the Global Credit Policy across ANZ
  • Ensure Credit Systems and Processes are aligned to country specific requirements
Finance & Risk Data Management Senior Manager Innovation Center for Finance & Risk
03/2011 - 05/2016
Boston, MA
  • Monitor, action and report on ANZ specific key credit related issues
  • Lead the ANZ Credit Team to ensure appropriate front line business support, ongoing development & recognition, and key resource retention
  • Partner/align with the wider Payments teams including Operations, Product, Legal, Finance, IT and Compliance to ensure credit considerations across Australia and New Zealand
  • Lead project specific work related to the credit function and provide ad-hoc support across the wider APAC Region
  • Achieve business targets with particular emphasis on risk
  • Conduct portfolio risk analysis
  • Manage project work or selected work streams in Risk Management service line
  • Supervise a project team in all components of Accenture's Enterprise Risk Management (ERM) and / or risk management methodologies including risk strategy and governance, process excellence and integration, regulatory reform, performance insights and execution
  • Assist clients throughout the full lifecycle of project implementation, integration business process redesign, communication and training, etc
Finance & Risk-risk Analytics Senior Manager
04/2007 - 12/2010
Dallas, TX
  • Work with client's business units, including Risk Management, IT, Internal Audit, Legal, Strategic Planning, Risk Analytics and Finance to gain thorough understanding of the corporate risk processes and procedures development
  • Identify, define and document complex business specifications for risk platforms and procedures
  • Design, implement, and deploy solutions to achieve defined business goals
  • Provide support to management in business development initiatives, including identifying opportunities, developing client proposals, and building strong relationships with Accenture clients
  • Be a trusted advisor to senior executives and management on their business needs and issues
  • Develop and frame a Proof of Concept for key clients, where applicable, including scoping, staffing, engagement setup and execution
  • Develop new data or analytics solutions to address client needs on Accenture’s Insights Platform, work hand in hand with our Technology Development Labs and create go to market strategy, plans and communication materials
  • Contribute to the execution of the practice’s growth plan; support the go-to-market strategy, offering prioritization, design, planning and delivery of offerings

Education


University of Phoenix - Turnpike Learning Center
2001 - 2006
Bachelor's Degree in Business

Professional Skills


  • Good analytical skills, strong analytical skills, can do mentality, no-nonsense attitude and willingness to learn
  • Strong interpersonal skills, proven ability to build and maintain relationships with senior management in a multinational environment
  • Strong problem solving and communication skills to identify control gaps and to develop solutions
  • Excellent presentation/reporting skills
  • Excellent written and verbal communication skills with the ability to communicate with multiple levels of management and other functional areas
  • Experience in business lending related roles in financial services industry, ideally with extensive experience in Invoice Discounting
  • A strong delivery record in operational risk with knowledge and experience operating within an IT control framework

How to write Finance & Risk Manager Resume

Finance & Risk Manager role is responsible for integration, finance, credit, database, compensation, accounting, reporting, design, digital, compliance.
To write great resume for finance & risk manager job, your resume must include:

  • Your contact information
  • Work experience
  • Education
  • Skill listing

Contact Information For Finance & Risk Manager Resume

The section contact information is important in your finance & risk manager resume. The recruiter has to be able to contact you ASAP if they like to offer you the job. This is why you need to provide your:

  • First and last name
  • Email
  • Telephone number

Work Experience in Your Finance & Risk Manager Resume

The section work experience is an essential part of your finance & risk manager resume. It’s the one thing the recruiter really cares about and pays the most attention to.
This section, however, is not just a list of your previous finance & risk manager responsibilities. It's meant to present you as a wholesome candidate by showcasing your relevant accomplishments and should be tailored specifically to the particular finance & risk manager position you're applying to. The work experience section should be the detailed summary of your latest 3 or 4 positions.

Representative Finance & Risk Manager resume experience can include:

  • Strong team building, staff leadership, communication, and collaboration skills
  • Solid understanding of the Finance function, operating models and supporting organization structures, and process best practices
  • Ensuring appropriate action is taken on exit accounts or accounts at risk which ensures no financial loss to the Bank
  • Assist in maintaining and enhancing the Daily Front End Control (FEC) process/database, which includes proactive monitoring of the FEC Database
  • Basic to advanced understanding of how to measure innovation in ING (innovation accounting)
  • Deep understanding of Accounting Rules, Regulations and guidelines

Education on a Finance & Risk Manager Resume

Make sure to make education a priority on your finance & risk manager resume. If you’ve been working for a few years and have a few solid positions to show, put your education after your finance & risk manager experience. For example, if you have a Ph.D in Neuroscience and a Master's in the same sphere, just list your Ph.D. Besides the doctorate, Master’s degrees go next, followed by Bachelor’s and finally, Associate’s degree.

Additional details to include:

  • School you graduated from
  • Major/ minor
  • Year of graduation
  • Location of school

These are the four additional pieces of information you should mention when listing your education on your resume.

Professional Skills in Finance & Risk Manager Resume

When listing skills on your finance & risk manager resume, remember always to be honest about your level of ability. Include the Skills section after experience.

Present the most important skills in your resume, there's a list of typical finance & risk manager skills:

  • A strong technical accounting background; risk and compliance experience preferably in Financial Services organizations
  • Banking/Accounting and Controlling experience
  • Extensive knowledge of IFRS accounting rules and equity accounting experience
  • Experience in banking, accounting or related field
  • Experience in internal audit, risk/controls analysis, compensation accounting
  • Managing, executing and resolving items appearing on exception and watchlist reports

List of Typical Skills For a Finance & Risk Manager Resume

1

Skills For Finance Operational Risk Manager Resume

  • Experience working in the banking sector
  • Demonstrated understanding of vendor offerings in Liquidity Risk Management (.e.g., Moody’s, SAS, ORACLE)
  • Relevant experience in financial services; Required: Qualified Accountant or Masters in Finance and Accounting
  • Experience in developing fraud detection systems
  • Experience with start-up valuation assessments
2

Skills For Finance & Risk Data Management Senior Manager Innovation Center for Finance & Risk Resume

  • Experience in business case assessments
  • Working knowledge in data supply chain, analytics, forecasting, and Finance technologies (process, planning analytics, core Financial)
  • Understanding of Operational Risk Management principles and processes in a front to back trading environment background
  • WIF portfolio risk management for both new and existing business within assigned state
  • International and dynamic working environment
  • Perform quality assurance testing of controls across the WM Finance teams
  • Facilitate the oversight and required testing of the WM Finance Business Continuity Plan (BCP)
3

Skills For Finance & Risk Data Management Manager Innovation Center for Finance & Risk Resume

  • Manage the performance of team/reports ensuring staff have clear pre-set objectives and get regular feedback on their performance
  • WM Finance Risk reporting for weekly status meetings, monthly management meetings and special projects as required
  • Monthly reserve analysis and reporting for the WM Risk team
  • Healthy local stakeholder relationship with sales, credit and LMU. (One team)
  • When opening a new requisition we have to add a keyword in the description, there is a place at the end of the description to add a keyword, add this: DigitalAnalyticsHotJobs -The keyword section is after the External job description area
  • Accounting background with strong analytical skills, strong working knowledge of financial, operational, compliance and systems knowledge with a strong focus on Blackline (Account Reconciliation Software) and SAP capability
  • Liaise with Leads in RTR, Information Technology, Contract Management, Information Security, and other functions as needed to develop risk mitigation strategies and address issues
4

Skills For Finance & Risk-risk Analytics Senior Manager Resume

  • Proactive communications and leadership style and ability to work effectively with senior executives and across all levels of organization
  • A good knowledge of internal control design and the firm's operational risk framework and principles
  • Strong knowledge of internal control design
  • Supported the assessment of technology controls within the F&R IT team through the UBS control assessment process
  • Key revenue generating function within the business where effective Sales management and cross-referrals are pivotal to success: driving the bank’s market profile and encouraging revenues to meet and exceed specified targets
  • Identify emerging and potential risks proactively and ensure a strong control environment is in place to mitigate the risks
  • Implement and monitor compliance with the UBS group-wide Operational Risk Framework
  • Pro-actively manage operational risk by supporting the Group Finance functions with operational risk identification utilizing forward looking metrics and reviewing key risk indicators
5

Skills For Finance Quality Risk Associate Manager Resume

  • Co-ordinate and manage risk identification and assessment across Group Finance working closely with our Business Partners and senior stakeholders
  • Manage and facilitate the on-going maintenance and assessment of Key Procedural Controls
  • Provide key stakeholders with timely and accurate reporting of all operational risk related items and events, support remediation activities
  • Extensive knowledge of ING’s financial and management accounting rules and procedures
  • Support and challenge the functions to ensure a robust risk assessment of identified issues and work with the functions to agree sustainable remediation plans
  • Manage and facilitate the documentation and on-going maintenance of Finance's key procedural controls; to review completeness and adequacy of Key Procedural Controls; support the functions in the review and challenge of the semi-annual control assessments results
  • Work with the functions to understand the root cause of operational risk events, back-test these against risk indicators and take these learnings forward to reduce future events and improve self-identification of issues
6

Skills For Risk Manager, Invoice Finance Credit Resume

  • To provide key senior finance stakeholders on a divisional and regional axis with timely and accurate reporting of all operational risk related items and events
  • Interact and coordinate with Risk teams at a group level and Audit functions
  • Monitor compliance with the firm's Operational Risk framework for the Finance Region Switzerland and for Finance Centres of Excellence with a global reach
  • Work with the functions to understand the root cause of operational risk events and take these learnings forward to reduce future events
  • Act as a deputy of the regional Head of FORM Switzerland
  • Respond to, and investigate on high risk areas such as V&A
7

Skills For Finance & Risk-frm Liquidity Risk Manager Resume

  • Communicate proactively and interact with senior management across the RTR Function to understand business developments and risks
  • Support development of the Finance & Accounting practice by driving initiatives around market research, Accenture Points-of-View, capability development, thought capital, knowledge management, etc
  • Maintain an understanding of advancements in regulations, technology and innovations which are happening across Finance & Accounting, and, more specifically, Digital Finance and Enterprise Performance Management, and the broader financial services marketplace
  • In operations management
  • Compile and communicate the weekly Issues and Action Plans reporting to impacted WM Finance stakeholders to ensure appropriate escalation and timely completion of all identified concerns
  • Strong organisational skills to plan and manage projects within budget and deadlines
  • Experience in Finance, Risk Management or Business analysis. Preferably in the financial services industry
8

Skills For Finance Risk & Control Manager Resume

  • Experience
  • Assist business partners in the process of identifying, assessing, recording, and remediating operational risk
  • Provide oversight and first level challenge of all operational risk related topics, including but not limited to: RCSA process; incident assessments; Internal Capital Adequacy Process (ICAAP – for SGIL Legal Entity only); KRI reporting; and, Action Plan completion, including Audit Recommendation progress tracking
  • Production and presentation of operational risk governance packs to key senior stakeholders
  • Implementation and maintenance of the first level control framework. Set-up and maintenance of the overarching second level Permanent Supervision Control framework
9

Skills For Finance & Risk Analytics Manager Resume

  • Undertake risk assessments for critical outsourced services, to include facilitation of other expert opinions (e.g. Legal, Compliance, Business Continuity Management, etc)
  • Participation in New Product Approvals as and when required
  • Manage portfolio of Issues and Action Plans related to Internal Audits
  • CA, ACCA, CPA required
  • Knowledge of regulatory environment and key compliance rules in financial services
  • Project management experience of remediation projects across F&R IT with a solid understanding of the ORF-2 framework and the Internal Control Assessment Process
  • Fixed Term Contract

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