Job Summary
This role is a specialised Non-Financial Risk position focused on the FX business, providing deep subject matter expertise across products, business activities, risk themes and control environments. The role supports the effective management of non-financial risk in alignment with enterprise risk management standards and regulatory expectations, while helping strengthen governance, reporting and risk structures across the business.
Working closely with the broader Markets NFR team and business stakeholders, the role is expected to support the global FX business by providing expert advice, credible challenge and specialist input on risk matters, governance outcomes and control uplift initiatives. It acts as a trusted SME for complex issues and emerging risks, bringing practical and data-driven insight to support informed decision-making and a strong risk culture.
The role is also expected to provide deep SME support, as required, for investigations, thematic reviews, assurance activities and risk events impacting the global FX business, including support on root cause analysis, issue assessment and the development of sustainable remediation responses.
Banking is changing and we re changing with it, giving our people great opportunities to try new things, learn and grow. Whatever your role at ANZ, you ll be building your future, while helping to build ours.
Role Type: Permanent
Role Location: Bengaluru
Responsibilities
- Act as the deep SME for non-financial risk matters impacting the FX business, providing expert advice and challenge across products, activities, controls and governance outcomes
- Support the global FX business on key risk matters, including risk identification, control uplift, governance enhancements and responses to emerging issues.
- Provide specialist input into complex investigations, thematic reviews, assurance activities and risk events, including root cause analysis, issue assessment and remediation planning
- Drive the management of non-financial risk governance and oversight in line with enterprise risk management standards and regulatory obligations, in partnership with the wider Markets NFR team
- Design and implement governance and risk management activities relevant to FX, including risk reviews, issues management, attestations and aggregated risk insights
- Prepare and review high-quality papers, reporting and insights for senior stakeholders, including explicit articulation of key risks, themes, actions and decisions required
- Oversee escalations and support timely resolution of significant risk, control or governance issues, escalating to senior management where appropriate
- Coordinate effectively with business, risk and assurance stakeholders across regions to maintain alignment, consistency and clarity in risk and governance practices
- Identify opportunities to enhance risk frameworks, governance processes, reporting and control effectiveness across the global FX business
What will you bring
To grow and be successful in this role, you will ideally bring the following:
- Experience in non-financial risk, governance frameworks and regulatory expectations within a Markets environment,
with particular expertise in FX business activities, products and control environments
- Demonstrated ability to act as a trusted SME on complex risk matters, providing credible challenge, practical advice and clear recommendations to senior stakeholders
- Strong experience supporting or leading investigations, thematic reviews, assurance activity or complex issue assessments, including root cause analysis and remediation development
- Strong planning and prioritization skills to manage multiple specialized risk activities, reviews, escalations and business demands simultaneously
- Excellent written and verbal communication skills, with the ability to distil complex technical and risk issues into clear insights for decision-makers
Good to have knowledge, skills and experiences
- Experience supporting global Markets businesses and working across regional stakeholder groups in a complex institutional environment.
- Strong understanding of FX product sets, trading activities and associated non-financial risk themes.
- Experience engaging with second- and third-line assurance teams, including internal audit, compliance reviews and thematic examinations.
- Exposure to data-driven analysis and reporting tools used to monitor risk, governance and control effectiveness across markets businesses.
You re not expected to have 100% of these skills. At ANZ a growth mindset is at the heart of our culture, so if you have most of these things in your toolbox, we d love to hear from you.
Disclaimer: This job posting has been aggregated from external source. Role details, content, and availability are subject to change. Applicants are advised to confirm the latest information directly on the company website before applying.
📌 Senior Associate Markets NFR Asia FX (Bengaluru)
🏢 Anz
📍 Bengaluru