Risk Director, Personal Investor (Sales and Client Management) jobs in United States
info-icon
This job has closed.
company-logo

Vanguard ยท 1 month ago

Risk Director, Personal Investor (Sales and Client Management)

Vanguard is committed to the long-term financial wellbeing of its clients. The Risk Director for Sales and Client Management will lead the risk management program for the Personal Investor Division, providing guidance and oversight to risk practitioners and engaging with senior business leaders to influence risk-smart decision-making.

FinanceFinancial Services
badNo H1Bnote

Responsibilities

Develop, mentor, and provide guidance, training, and motivation, as necessary. Hire, evaluate, and counsel crew. Set performance standards, review performance, provide feedback, and recommend wage increases in accordance with all applicable Human Resources policies and procedures
Provide guidance and oversight to a team of risk practitioners as they analyze risks to the business and apply risk methodology to those risks. Be accountable for the timely completion of risk projects and ensuring the work of the risk practitioners is creating the desired outcomes
Engage with senior business leaders to understand their goals and identify risks to their business areas. Provide advice and guidance to business leaders to influence risk-smart decision-making
Design, implement, and lead the divisional risk management program. Provide divisional oversight to the enterprise and partners based on the operational and strategic risk framework. Maintain strong relationships with key stakeholders of aligned division. Responsible for cultivating a strong risk culture across division
Partner with key stakeholders to establish and implement risk and control management standards within the division's processes, based on the divisional risk profile and enterprise and divisional policies. Provide vision and leadership regarding existing and emerging risks, in alignment with strategic priorities. Effectively communicates strategies and plans to all appropriate parties
Develop and maintain in-depth knowledge and awareness of the investment industry, risk management practices, and regulatory and/or policy changes. Serve as a subject matter expert on risk management discussions. Take an active role in industry forums and remains current on issues and regulatory events affecting the division, firm, and industry
Participate in special projects and performs other duties as assigned

Qualification

Risk management expertiseBroker dealer knowledgeLine of defense experienceCommunication skillsServant-leadership mindset

Required

Minimum of eight years related work experience
Undergraduate degree or equivalent combination of training and experience
Knowledge of risk management theories and experience in applying risk management concepts
Knowledge of the broker dealer and distribution practices
Experience in line of defense functions including risk, control, audit, or compliance
Ability to communicate, influence, navigate, persuade, and build buy-in across senior leaders and internal stakeholders
Servant-leadership mindset and a proven track record of developing talent

Preferred

Graduate degree preferred

Company

Vanguard

company-logo
Check is a client-owned investment company that offers low-cost mutual funds, ETFs, advice, and related services.

Funding

Current Stage
Late Stage
Total Funding
unknown
Key Investors
ic@3401
2017-03-31Non Equity Assistance

Leadership Team

leader-logo
Salim Ramji
Chief Executive Officer
linkedin
leader-logo
Andrew Maack
Principal, Head of US Equity Index Portfolio Management
linkedin
Company data provided by crunchbase