Operational Risk Reporting Analyst

Posted Yesterday
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London, Greater London, England
1-3 Years Experience
Fintech • Software • Financial Services
The Role
The Operational Risk Reporting Analyst collaborates with the Risk Reporting team to maintain a sound risk and control environment. Responsibilities include preparing risk event reports, managing the KRI dashboard, investigating discrepancies in risk events, and providing insightful reports to stakeholders.
Summary Generated by Built In

Please note this position is based in London and this will be the contractual location of the successful candidate, other locations cannot be considered.

Operational Risk Reporting Analyst

This is a great job for someone who has knowledge of the asset management industry and the risks associated with this. This includes knowledge of financial instruments and a trade lifecycle.

A bit about the job:

 The Operational Risk Reporting Analyst works with the Risk Reporting team and the wider Operational Risk team to ensure that Aviva Investors continues to maintain a robust risk and control environment and meet its regulatory requirements. Within the role you will support the Senior Analyst/Manager and Senior Manager in collating and preparing consolidated risk events reports and analysis, and also maintain the monthly Risk Reporting KRI dashboard. Where exceptions are identified resulting in amber, red or material fluctuations, investigate the reason and obtain and challenge business proposed remedial actions for exceptions. You will be required to support the Senior Analyst/Manager and Senior Manager in generating, reviewing and providing high quality and insightful incidents reports to clients or departments. This includes having insightful conversations with internal and external stakeholders on incidents management.

Skills and experience we’re looking for:

  • Reasonable knowledge of risk events management.

  • Some knowledge of risk identification, measurement, management, monitoring and reporting practices across the asset management and other financial services sectors.

  • Some knowledge of the workings of the FCA and other global regulators, in particular an understanding of their key concerns and how this translates into their objectives in overseeing operational risk management.

  • Has a good appreciation of working globally and is sensitive to cultural diversity.

  • Hold relevant professional memberships to support role (not mandatory, but highly recommended).

What you’ll get for this role:

  • Generous pension scheme - Aviva will contribute up to 14%, depending on what you put in

  • Eligibility for annual performance bonus

  • Family friendly parental and carer’s leave

  • Generous holiday entitlement plus bank holidays with the option to buy/sell up to 5 additional days

  • Up to 40% discount for Aviva products

  • Brilliant flexible benefits including electric cars

  • Aviva Matching Share Plan and Save As You Earn scheme

  • 21 volunteering hours per year

Aviva is for everyone:

We’re inclusive and welcome everyone – we want applications from all backgrounds and experiences. Excited but not sure you tick every box? Even if you don’t, we would still encourage you to apply. We also consider all forms of flexible working, including part time and job shares.

We flex locations, hours and working patterns to suit our customers, business, and you. Most of our people are smart working –spending around 50% of their time in our offices every week - combining the benefits of flexibility, with time together with colleagues.

To find out more about working at Aviva take a look here

We’d love it if you could submit your application online. If you require an alternative method of applying, send an email to [email protected]

The Company
HQ: London
1,340 Employees
On-site Workplace
Year Founded: 2008

What We Do

Welcome to Aviva Investors. The global asset manager that chooses integration.

The future is full of questions. Only by working closely with our clients can we find the answers. That’s why we integrate our whole business around our clients – their goals, their values and the experience they have when they work with us.

That’s why we start by listening closely and understanding their investment aspirations and concerns – from low prospective investment returns, to highly correlated asset prices; from the prospect of rising global interest rates, to the challenges and opportunities of market volatility. Through our vast collective industry experience, we’ve been through every market cycle, making us better prepared for the next one.

Inspired by our deep client insight, we build solutions that aim to defy uncertainty, answering the questions that keep our clients awake at night. From large institutional investors to individuals saving for retirement, we work together to deliver meaningful outcomes, now and over the long run.

That’s why we work hard to join the dots across asset classes to find the best investment ideas; why we break down barriers so our teams can connect seamlessly; and why we manage risk with discipline and rigour. By working in partnership, we bring components together in new ways to ensure our clients get the very best of our collective expertise with every investment.

Please remember the value of an investment and any income from it can go down as well as up. Investors may not get back the original amount invested.

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