Manager, Finance Risk Management
Core
Lead robust and proactive risk management programs for Capital One's Finance division, ensuring adherence to regulatory and enterprise requirements while supporting dynamic change management and acquisition integration efforts.
Role type
Manager, Finance Risk Management
Builds
Risk management frameworks and roadmaps for major enterprise change initiatives
Domain
Financial Services / Banking / Risk Management
Deliverable
production ML models | product features | dashboards & analysis | research | client delivery | infrastructure | physical/clinical work
Required skills
Risk management, Regulatory compliance, Audit, Accounting, Project management, Process assessment, Internal audits, Strategic risk identification, Change management, Stakeholder partnership
Preferred skills
MBA, Accounting, Finance, Economics, PMP, Agile, CPA, CIA
Technologies
N/A
Responsibilities
Promote proactive risk management initiatives to reduce residual risk; Lead engagement activities on process level assessments, internal audits, and regulatory commitments; Develop and implement risk management framework for major enterprise change initiatives; Drive risk management initiatives to completion and execute roadmaps; Provide regular communication for transparency of progress and impediments; Proactively understand Finance organizational risk profiles and identify strategic and emerging risks; Manage work across organizational lines to address competing priorities; Communicate with and influence leadership on key process risks and actions needed; Build and leverage productive relationships with Finance department stakeholders to promote operational resilience.
Seniority
Manager, hands-on leadership