21 Ofertas de Middle Office en Colombia
Funcionales en Mercado de Capitales - Funcional Riesgos (Middle Office)
Publicado hace 12 días
Trabajo visto
Descripción Del Trabajo
Ubicación: (Ciudad)
Modalidad: Presencial
Contrato: Obra y Labor
Salario: A convenir
Descripción de la EmpresaZemsania es una empresa líder en tecnología y desarrollo de soluciones innovadoras. Nos destacamos por ofrecer soluciones efectivas en diversas industrias, incluyendo finanzas y mercado de capitales. Valoramos la calidad, la excelencia y el talento de nuestros colaboradores.
Descripción del PuestoBuscamos un Funcional en Mercado de Capitales - Funcional Riesgos en el área de Middle Office . Su principal responsabilidad será gestionar los riesgos asociados a operaciones en el mercado de capitales, asegurando precisión en la información y cumplimiento normativo.
El candidato ideal debe tener experiencia en el sector, visión analítica y estratégica para afrontar desafíos del mercado financiero. Este rol es clave para mantener la integridad de procesos en Middle Office y contribuir al éxito de las operaciones.
Responsabilidades- Gestionar actividades del Middle Office relacionadas con riesgos, garantizando precisión e integridad de datos.
- Colaborar con Front y Back Office para asegurar comunicación efectiva.
- Evaluar riesgos de transacciones, desarrollando métricas y reportes para decisiones informadas.
- Asegurar cumplimiento de normativas regulatorias y políticas internas.
- Realizar auditorías internas y revisar procesos para mejorar eficiencia.
- Desarrollar e implementar herramientas y procesos para optimizar el Middle Office.
- Mantenerse actualizado sobre tendencias del mercado y mejores prácticas en gestión de riesgos.
- Ambiente laboral profesional y colaborativo, valorando trabajo en equipo y desarrollo personal.
- Oportunidades de crecimiento y desarrollo profesional.
- Salario competitivo según experiencia y habilidades.
- Beneficios adicionales, incluyendo capacitación continua y bienestar.
Si deseas formar parte de un equipo dinámico en el mercado de capitales y contribuir en la gestión de riesgos, te invitamos a postularte y unirte a Zemsania.
Zemsania: Transformando el Futuro del Mercado de CapitalesCreemos que nuestro éxito depende de nuestro talento y dedicación. Si cumples con los requisitos y te apasiona el área de riesgos, únete a nosotros para crear soluciones que transformen el sector financiero.
Esperamos tu postulación y la oportunidad de conocerte. Tu experiencia y compromiso son clave para alcanzar nuevos objetivos. ¡Te esperamos en Zemsania!
#J-18808-LjbffrRisk Management Associate
Publicado hace 12 días
Trabajo visto
Descripción Del Trabajo
Connecting clients to markets – and talent to opportunity With 4,500+ employees and over 300,000 commercial, institutional, payments, and retail clients, we operate from more than 70 offices spread across six continents. As a Fortune 100, Nasdaq-listed provider, we connect clients to the global markets – focusing on innovation, human connection, and providing world-class products and services to all types of investors.Whether you want to forge a career connecting our retail clients to potential trading opportunities, or ingrain yourself in the world of institutional investing, StoneX Group is made up of four business segments that offer endless potential for progression and growth.
With boots on the ground authenticity at the heart of everything we do, our comprehensive array of commercial products and services enable you to work directly with our clients, across hedging, risk management, execution and clearing, OTC products, commodity finance and more.
Position Purpose:
This role serves as a crucial bridge between market intelligence and actionable portfolio strategies. It is designed to guide clients across sectors in understanding macroeconomic conditions and managing currency risk to enhance financial performance.
ResponsibilitiesPrimary duties will include:
- Offering services to existing clients and increasing the portfolio of new clients.
- Execute visit plans and provide support to clients.
- Help clients from all market sectors understand exchange rate issues to drive better decisions and improve results.
- Develop and implement tools for economic, market, and financial analysis aimed at optimizing managed portfolios.
- Have knowledge or experience in fundamental technical and statistical studies, supporting the structuring of portfolio investment strategies.
- Prepare periodic reports and presentations on economic indicators (inflation, growth, exchange rate, etc.) and financial market assets to support portfolio management.
- Monitor through different channels and generate daily reports for portfolio management, using different channels and information sources.
- This list of duties and responsibilities is not intended to be all-inclusive and can be expanded to include other that management deems necessary.
To land this role you will need:
- Experience of 3-5 years in the financial services industry.
- Experience in risk control processes and policies (exchange rate), financial analysis and reporting and expertise in foreign exchange risk.
- Strong commercial aptitude, financial analysis, interpersonal skills, and professional interaction skills.
- Experience or knowledge of Bloomberg, Reuters, and foreign exchange risk.
- Advanced English proficiency.
Education / Certification Requirements:
- Professional degree in Economics, Finance, Statistics, Business Administration, or International Business.
Working environment:
- Permanent, full-time, and on-site role based in Bogotá.
- Availability to travel.
#LI-OnSite #LI-CL1
#J-18808-LjbffrRisk Management Associate
Publicado hace 12 días
Trabajo visto
Descripción Del Trabajo
Connecting clients to markets – and talent to opportunity With 4,500+ employees and over 300,000 commercial, institutional, payments, and retail clients, we operate from more than 70 offices spread across six continents. As a Fortune 100, Nasdaq-listed provider, we connect clients to the global markets – focusing on innovation, human connection, and providing world-class products and services to all types of investors.Whether you want to forge a career connecting our retail clients to potential trading opportunities, or ingrain yourself in the world of institutional investing, StoneX Group is made up of four business segments that offer endless potential for progression and growth.
With boots on the ground authenticity at the heart of everything we do, our comprehensive array of commercial products and services enable you to work directly with our clients, across hedging, risk management, execution and clearing, OTC products, commodity finance and more.
Position Purpose:
This role serves as a crucial bridge between market intelligence and actionable portfolio strategies. It is designed to guide clients across sectors in understanding macroeconomic conditions and managing currency risk to enhance financial performance.
ResponsibilitiesPrimary duties will include:
- Offering services to existing clients and increasing the portfolio of new clients.
- Execute visit plans and provide support to clients.
- Help clients from all market sectors understand exchange rate issues to drive better decisions and improve results.
- Develop and implement tools for economic, market, and financial analysis aimed at optimizing managed portfolios.
- Have knowledge or experience in fundamental technical and statistical studies, supporting the structuring of portfolio investment strategies.
- Prepare periodic reports and presentations on economic indicators (inflation, growth, exchange rate, etc.) and financial market assets to support portfolio management.
- Monitor through different channels and generate daily reports for portfolio management, using different channels and information sources.
- This list of duties and responsibilities is not intended to be all-inclusive and can be expanded to include other that management deems necessary.
To land this role you will need:
- Experience of 3-5 years in the financial services industry.
- Experience in risk control processes and policies (exchange rate), financial analysis and reporting and expertise in foreign exchange risk.
- Strong commercial aptitude, financial analysis, interpersonal skills, and professional interaction skills.
- Experience or knowledge of Bloomberg, Reuters, and foreign exchange risk.
- Advanced English proficiency.
Education / Certification Requirements:
- Professional degree in Economics, Finance, Statistics, Business Administration, or International Business.
Working environment:
- Permanent, full-time, and on-site role based in Bogotá.
- Availability to travel.
#LI-OnSite #LI-CL1
#J-18808-LjbffrAnalyst, Risk Management
Hoy
Trabajo visto
Descripción Del Trabajo
_Mastercard powers economies and empowers people in 200+ countries and territories worldwide. Together with our customers, we're helping build a sustainable economy where everyone can prosper. We support a wide range of digital payments choices, making transactions secure, simple, smart and accessible. Our technology and innovation, partnerships and networks combine to deliver a unique set of products and services that help people, businesses and governments realize their greatest potential._
**Title and Summary**
Analyst, Risk Management
Overview:
Mastercard has approximately $68B in credit exposure to financial institutions and other counterparties worldwide, placing the CRM role as a key part of its evolving and quickly growing business model. The magnitude and strategic nature of this exposure necessitates periodic engagement with senior management, Mastercard's sales, franchise, and product organizations as well as our customers (issuers, acquirers, etc.). This provides great opportunities to learn and grow your career within Mastercard.
Role:
- Monitor 24x7 global customer exposures. Prevent any losses to the broader organization by adequately monitoring CEM volumes as per existing and new procedures.
- Accurately, adequately, and swiftly inform risk managers, Directors or VPs in case of urgencies (bankruptcies, insolvencies, negative news etc.).
- Follow the escalation matrix and procedures, as well as precedents identified.
- Follow up with account managers and customers on open settlement positions, coordinating to determine if they are genuine or a reconciliation issue.
- Participate in various process improvement initiatives and best practices sharing.
- Ad hoc analytics, interface with advanced data analysts to seek automation when requests become recurrent.
- Help prepare external and internal CRM-related reporting (SEC filing, audit committee, ad hoc reporting).
- Propose process enhancements and automation when possible.
All About You:
- Preferable graduate/postgraduate degree in business, economics, econometrics or equivalent.
- Experience in credit risk assessment and/or financial statements analysis (nice to have).
- Accuracy, self-drive, accountability and sense of urgency.
- Outstanding written and verbal English communication skills.
- Advanced Excel, Word, and PowerPoint user.
- Positive attitude, strong work-ethic, and good sense of humor.
- Availability to work in shifts.
**Corporate Security Responsibility**
All activities involving access to Mastercard assets, information, and networks comes with an inherent risk to the organization and, therefore, it is expected that every person working for, or on behalf of, Mastercard is responsible for information security and must:
+ Abide by Mastercard's security policies and practices;
+ Ensure the confidentiality and integrity of the information being accessed;
+ Report any suspected information security violation or breach, and
+ Complete all periodic mandatory security trainings in accordance with Mastercard's guidelines.
Risk Management Associate
Hoy
Trabajo visto
Descripción Del Trabajo
Connecting clients to markets – and talent to opportunity With 4,500+ employees and over 300,000 commercial, institutional, payments, and retail clients, we operate from more than 70 offices spread across six continents. As a Fortune 100, Nasdaq-listed provider, we connect clients to the global markets – focusing on innovation, human connection, and providing world-class products and services to all types of investors.Whether you want to forge a career connecting our retail clients to potential trading opportunities, or ingrain yourself in the world of institutional investing, StoneX Group is made up of four business segments that offer endless potential for progression and growth.
With boots on the ground authenticity at the heart of everything we do, our comprehensive array of commercial products and services enable you to work directly with our clients, across hedging, risk management, execution and clearing, OTC products, commodity finance and more.
Position Purpose:
This role serves as a crucial bridge between market intelligence and actionable portfolio strategies. It is designed to guide clients across sectors in understanding macroeconomic conditions and managing currency risk to enhance financial performance.
ResponsibilitiesPrimary duties will include:
- Offering services to existing clients and increasing the portfolio of new clients.
- Execute visit plans and provide support to clients.
- Help clients from all market sectors understand exchange rate issues to drive better decisions and improve results.
- Develop and implement tools for economic, market, and financial analysis aimed at optimizing managed portfolios.
- Have knowledge or experience in fundamental technical and statistical studies, supporting the structuring of portfolio investment strategies.
- Prepare periodic reports and presentations on economic indicators (inflation, growth, exchange rate, etc.) and financial market assets to support portfolio management.
- Monitor through different channels and generate daily reports for portfolio management, using different channels and information sources.
- This list of duties and responsibilities is not intended to be all-inclusive and can be expanded to include other that management deems necessary.
To land this role you will need:
- Experience of 3-5 years in the financial services industry.
- Experience in risk control processes and policies (exchange rate), financial analysis and reporting and expertise in foreign exchange risk.
- Strong commercial aptitude, financial analysis, interpersonal skills, and professional interaction skills.
- Experience or knowledge of Bloomberg, Reuters, and foreign exchange risk.
- Advanced English proficiency.
Education / Certification Requirements:
- Professional degree in Economics, Finance, Statistics, Business Administration, or International Business.
Working environment:
- Permanent, full-time, and on-site role based in Bogotá.
- Availability to travel.
#LI-OnSite #LI-CL1
#J-18808-LjbffrRisk Management Associate
Hoy
Trabajo visto
Descripción Del Trabajo
Connecting clients to markets – and talent to opportunity With 4,500+ employees and over 300,000 commercial, institutional, payments, and retail clients, we operate from more than 70 offices spread across six continents. As a Fortune 100, Nasdaq-listed provider, we connect clients to the global markets – focusing on innovation, human connection, and providing world-class products and services to all types of investors.Whether you want to forge a career connecting our retail clients to potential trading opportunities, or ingrain yourself in the world of institutional investing, StoneX Group is made up of four business segments that offer endless potential for progression and growth.
With boots on the ground authenticity at the heart of everything we do, our comprehensive array of commercial products and services enable you to work directly with our clients, across hedging, risk management, execution and clearing, OTC products, commodity finance and more.
Position Purpose:
This role serves as a crucial bridge between market intelligence and actionable portfolio strategies. It is designed to guide clients across sectors in understanding macroeconomic conditions and managing currency risk to enhance financial performance.
ResponsibilitiesPrimary duties will include:
- Offering services to existing clients and increasing the portfolio of new clients.
- Execute visit plans and provide support to clients.
- Help clients from all market sectors understand exchange rate issues to drive better decisions and improve results.
- Develop and implement tools for economic, market, and financial analysis aimed at optimizing managed portfolios.
- Have knowledge or experience in fundamental technical and statistical studies, supporting the structuring of portfolio investment strategies.
- Prepare periodic reports and presentations on economic indicators (inflation, growth, exchange rate, etc.) and financial market assets to support portfolio management.
- Monitor through different channels and generate daily reports for portfolio management, using different channels and information sources.
- This list of duties and responsibilities is not intended to be all-inclusive and can be expanded to include other that management deems necessary.
To land this role you will need:
- Experience of 3-5 years in the financial services industry.
- Experience in risk control processes and policies (exchange rate), financial analysis and reporting and expertise in foreign exchange risk.
- Strong commercial aptitude, financial analysis, interpersonal skills, and professional interaction skills.
- Experience or knowledge of Bloomberg, Reuters, and foreign exchange risk.
- Advanced English proficiency.
Education / Certification Requirements:
- Professional degree in Economics, Finance, Statistics, Business Administration, or International Business.
Working environment:
- Permanent, full-time, and on-site role based in Bogotá.
- Availability to travel.
#LI-OnSite #LI-CL1
#J-18808-LjbffrManager, Risk Management-1
Publicado hace 10 días
Trabajo visto
Descripción Del Trabajo
Our Purpose
Mastercard powers economies and empowers people in 200+ countries and territories worldwide. Together with our customers, we’re helping build asustainableeconomy where everyone can prosper. We support a wide range of digital payments choices, making transactionssecure, simple, smart and accessible. Our technology and innovation, partnerships and networks combine to deliver a unique set of products and services that help people, businesses and governments realize their greatest potential.
Title and Summary
Manager, Risk Management-1 Job DescriptionOverview
The primary responsibility of the Manager, Risk Management is to provide support to the Mastercard Customer Risk Management (CRM) team, including its risk managers and senior leaders to help manage Mastercard’s CRM function globally by being the team’s liaison for new initiatives (e.g., products, services, acquisitions) which may impact Mastercard’s risk exposure at a global level.
Mastercard has approximately $77B in credit exposure to financial institutions and other counterparties worldwide, placing the CRM’s role as a key part of its evolving and quickly growing business model, with new services, products and acquisitions taking a critical role in the company’s expansion. The magnitude and strategic nature of this exposure necessitates periodic engagement with senior management, Mastercard’s sales, franchise, and product organizations as well as our customers (issuers, acquirers, etc.). This provides great opportunities to learn and grow your career within Mastercard.
Role
The primary responsibility is to support the CRM team to ensure customer risk is appropriately assessed, managed, and mitigated in accordance with Mastercard’s policies & procedures and risk appetite framework. This includes, but is not limited to:
• Participate in the global product review process, being CRM’s liaison for new services, products and M&A activity which may impact CRM at a global level.
• Be responsible to follow projects through, ensuring that credit risk is taken into consideration and is top of mind for the business teams.
• Set up the framework for the CRM team to incorporate such new initiatives to the team’s BAU routine.
• Certify a smooth transition to the CRM team BAU process once new initiatives become live.
• Cooperate with regional leads (CRM VPs) to ensure both global and regional initiatives are well mapped and accounted for.
• Project manage/coordinate with relevant teams on controls and enhancements necessary to accommodate new initiatives within CRM’s risk standards and Mastercard’s risk appetite.
• Participate in various process improvement initiatives and sharing best practices.
• Propose Policy and Procedures updates based on feedback collected from new global initiatives.
The role will require strong credit risk background, a good understanding of Mastercard's business model, systems and tools and usage of various data sources relevant for the customer risk management function.
All About You
• Postgraduate degree in business, economics, econometrics or equivalent.
• Experience in leading complex projects with multiple stakeholders.
• Experience in credit risk assessment and financial statements analysis; experience in / knowledge of the banking sector.
• Accuracy, self-drive, accountability and sense of urgency.
• Outstanding written and verbal English communication skills.
• Advanced Excel, Word, and PowerPoint user.
• Positive attitude, strong work-ethic, and good sense of humor.
Corporate Security Responsibility
All activities involving access to Mastercard assets, information, and networks comes with an inherent risk to the organization and, therefore, it is expected that every person working for, or on behalf of, Mastercard is responsible for information security and must:
Abide by Mastercard’s security policies and practices;
Ensure the confidentiality and integrity of the information being accessed;
Report any suspected information security violation or breach, and
Complete all periodic mandatory security trainings in accordance with Mastercard’s guidelines.
#J-18808-Ljbffr
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Security Risk Management Specialist
Publicado hace 12 días
Trabajo visto
Descripción Del Trabajo
Canonical Bogota, D.C., Capital District, Colombia
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In security risk management we're looking to harness the power of industry best practice combined with driving new innovation on how we do security risk assessments and modelling. Our security risk management team is the primary owner of the strategy and practices of how we identify, track and reduce our security risk across everything we do.
To support this we need to use industry best practices paired with emerging threat information to to promote risk identification, quantification, impact analysis, and modelling to ultimately drive decision making. In this role, you will help establish and execute a broad strategic vision for the security risk program at Canonical. You will not only work within the team but also cross-functionally with various teams across the organisation. The team contributes ideas and requirements for Canonical product security, improving the resilience and robustness of all Ubuntu customers and users subject to cyber attacks. Additionally, the team collaborates with our Organisational Learning and Development team to develop playbooks and facilitate security training across Canonical.
The security risk management team's mission is not only to secure Canonical, but also to contribute to the security of the wider open source ecosystem. They might share knowledge through public presentations and industry events, and share threat intelligence with the wider community or represent Canonical in sector-specific governance bodies.
What you will do in this role:
- Define Canonical's security risk management standards and playbooks
- Analyse and improve Canonical's security risk practices
- Evaluate, select and implement new security requirements, tools and practices
- Grow the presence and thought leadership of Canonical security risk management practice
- Develop Canonical security risk learning and development materials
- Work with Security leadership to present information and influence change
- Participate in developing key risk indicators, provide inputs to the development of key control indicators, and key performance indicators for various programs
- Apply statistical models to risk frameworks (such as FAIR, sensitivity analysis, and others)
- Participate in risk management, decision-making, and collaborative discussions
- Lead quantified risk assessments and understand the value of qualitative data for improvements to quality and engineering processes
- Interpret internal or external cyber security risk analyses in business terms and recommend a responsible course of action
- Develop templates and materials to help with self-service risk management actions
- Monitor and identify opportunities to improve the effectiveness of risk management processes
- Launch campaigns to perform security assessments and help mitigate security risks across the company
- Build evaluation methods and performance indicators to measure efficiency of security functions and capabilities.
- An exceptional academic track record
- Undergraduate degree in Computer Science or STEM, or a compelling narrative about your alternative path
- Drive and a track record of going above-and-beyond expectations
- Deep personal motivation to be at the forefront of technology security
- Leadership and management ability
- Excellent business English writing and presentation skills
- Problem-solver with excellent communication skills, a deep technical understanding of security assessments and risk management
- Expertise in threat modelling and risk management frameworks
- Broad knowledge of how to operationalize the management of security risk
- Experience in Secure Development Lifecycle and Security by Design methodology
We consider geographical location, experience, and performance in shaping compensation worldwide. We revisit compensation annually (and more often for graduates and associates) to ensure we recognise outstanding performance. In addition to base pay, we offer a performance-driven annual bonus. We provide all team members with additional benefits, which reflect our values and ideals. We balance our programs to meet local needs and ensure fairness globally.
- Distributed work environment with twice-yearly team sprints in person
- Personal learning and development budget of USD 2,000 per year
- Annual compensation review
- Recognition rewards
- Annual holiday leave
- Maternity and paternity leave
- Employee Assistance Programme
- Opportunity to travel to new locations to meet colleagues
- Priority Pass, and travel upgrades for long haul company events
Canonical is a pioneering tech firm at the forefront of the global move to open source. As the company that publishes Ubuntu, one of the most important open source projects and the platform for AI, IoT and the cloud, we are changing the world on a daily basis. We recruit on a global basis and set a very high standard for people joining the company. We expect excellence - in order to succeed, we need to be the best at what we do. Canonical has been a remote-first company since its inception in 2004. Working here is a step into the future, and will challenge you to think differently, work smarter, learn new skills, and raise your game.
Canonical is an equal opportunity employer
We are proud to foster a workplace free from discrimination. Diversity of experience, perspectives, and background create a better work environment and better products. Whatever your identity, we will give your application fair consideration.
Seniority level
- Seniority level Entry level
- Employment type Full-time
- Job function Finance and Sales
- Industries Software Development
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#J-18808-LjbffrManager, Risk Management-1

Ayer
Trabajo visto
Descripción Del Trabajo
_Mastercard powers economies and empowers people in 200+ countries and territories worldwide. Together with our customers, we're helping build a sustainable economy where everyone can prosper. We support a wide range of digital payments choices, making transactions secure, simple, smart and accessible. Our technology and innovation, partnerships and networks combine to deliver a unique set of products and services that help people, businesses and governments realize their greatest potential._
**Title and Summary**
Manager, Risk Management-1
Job Description
Overview
The primary responsibility of the Manager, Risk Management is to provide support to the Mastercard Customer Risk Management (CRM) team, including its risk managers and senior leaders to help manage Mastercard's CRM function globally by being the team's liaison for new initiatives (e.g., products, services, acquisitions) which may impact Mastercard's risk exposure at a global level.
Mastercard has approximately $77B in credit exposure to financial institutions and other counterparties worldwide, placing the CRM's role as a key part of its evolving and quickly growing business model, with new services, products and acquisitions taking a critical role in the company's expansion. The magnitude and strategic nature of this exposure necessitates periodic engagement with senior management, Mastercard's sales, franchise, and product organizations as well as our customers (issuers, acquirers, etc.). This provides great opportunities to learn and grow your career within Mastercard.
Role
The primary responsibility is to support the CRM team to ensure customer risk is appropriately assessed, managed, and mitigated in accordance with Mastercard's policies & procedures and risk appetite framework. This includes, but is not limited to:
- Participate in the global product review process, being CRM's liaison for new services, products and M&A activity which may impact CRM at a global level.
- Be responsible to follow projects through, ensuring that credit risk is taken into consideration and is top of mind for the business teams.
- Set up the framework for the CRM team to incorporate such new initiatives to the team's BAU routine.
- Certify a smooth transition to the CRM team BAU process once new initiatives become live.
- Cooperate with regional leads (CRM VPs) to ensure both global and regional initiatives are well mapped and accounted for.
- Project manage/coordinate with relevant teams on controls and enhancements necessary to accommodate new initiatives within CRM's risk standards and Mastercard's risk appetite.
- Participate in various process improvement initiatives and sharing best practices.
- Propose Policy and Procedures updates based on feedback collected from new global initiatives.
The role will require strong credit risk background, a good understanding of Mastercard's business model, systems and tools and usage of various data sources relevant for the customer risk management function.
All About You
- Postgraduate degree in business, economics, econometrics or equivalent.
- Experience in leading complex projects with multiple stakeholders.
- Experience in credit risk assessment and financial statements analysis; experience in / knowledge of the banking sector.
- Accuracy, self-drive, accountability and sense of urgency.
- Outstanding written and verbal English communication skills.
- Advanced Excel, Word, and PowerPoint user.
- Positive attitude, strong work-ethic, and good sense of humor.
**Corporate Security Responsibility**
All activities involving access to Mastercard assets, information, and networks comes with an inherent risk to the organization and, therefore, it is expected that every person working for, or on behalf of, Mastercard is responsible for information security and must:
+ Abide by Mastercard's security policies and practices;
+ Ensure the confidentiality and integrity of the information being accessed;
+ Report any suspected information security violation or breach, and
+ Complete all periodic mandatory security trainings in accordance with Mastercard's guidelines.
ServiceNow Security & Risk Management Consultant
Publicado hace 12 días
Trabajo visto
Descripción Del Trabajo
At #Cognizant, we have an ideal opportunity for you to be part of one of the largest companies in the digital industry worldwide. A company where we look for people who contribute new ideas, experiencing a dynamic and growing environment. At Cognizant, we promote an inclusive culture where we value different perspectives.
We are currently looking for a ServiceNow Security & Risk Management Consultant with 12 to 14 years of experience to join our team
What do we value?
The ideal candidate will have expertise in ServiceNow Security Operation, s Security Management, Risk Management and Project Risk Management. This role requires advanced English speaker with excellent communication skills. The work model is hybrid with no travel required
Key Responsibilities:
Lead the planning and implementation of projects within the ServiceNow Security Operations framework.
Oversee the development and execution of security management strategies to protect company assets.
Provide guidance on risk management practices to mitigate potential project risks.
Coordinate with cross-functional teams to ensure project milestones are met on time and within budget.
Monitor project progress and make necessary adjustments to ensure successful project delivery.
Conduct regular risk assessments and develop mitigation plans to address identified risks.
Ensure compliance with industry standards and best practices in security management.
Facilitate communication between stakeholders to ensure alignment on project goals and objectives.
Prepare and present project status reports to senior management and other stakeholders.
Manage project documentation and ensure all records are up to date and accurate.
Utilize the ServiceNow platform to streamline project management processes and improve efficiency.
Provide training and support to team members on ServiceNow Security Operations and risk management practices.
Collaborate with external vendors and partners to ensure seamless integration of security solutions.
Necessary skills and experience required:
Possess a strong background in ServiceNow Security Operations with hands-on experience.
Demonstrate expertise in security management and risk management practices.
Have a proven track record of successfully managing projects within the specified experience range.
Exhibit excellent communication skills in English both written and spoken.
Show proficiency in using the ServiceNow platform for project management tasks.
Display the ability to work effectively in a hybrid work model.
Possess strong organizational and time management skills.
Have experience in conducting risk assessments and developing mitigation plans.
Be detail-oriented with a focus on accuracy and compliance.
Demonstrate the ability to work collaboratively with cross-functional teams.
Show a commitment to continuous improvement and professional development.
Have a proactive approach to problem-solving and decision-making.
Be adaptable and able to manage multiple projects simultaneously
Certifications Required
Certified ServiceNow System Administrator
Certified Project Management Professional (PMP)
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