Job description

Posted on:
December 30, 2025
Key Responsibilities:
Lead supervision and business risk oversight for North American Corporate Banking within Capital Markets.
Collaborate closely with the Corporate Banking LOB to assess, analyze, and update business risk matters.
Serve as a liaison between the LOB and key internal stakeholders, including:
Legal and Regulatory Compliance
Second Line Compliance
Corporate Internal Audit
External Auditors and Regulators
Enterprise Risk and Operational Risk
Ensure risks are appropriately assessed and controls are effectively implemented and functioning as intended.
Maintain and document a robust first line of defense (Supervision) protocol for monitoring controls related to Corporate Banking products and personnel.
Support the development of a strong culture of compliance across Capital Markets Corporate Banking, with a focus on proactive risk management.
Required Qualifications and Skills:
Proven experience in governance, risk management, compliance, business management, operations, or a related field.
Deep understanding of Corporate Banking business and products, particularly within the North American context.
Strong grasp of regulatory obligations relevant to Corporate Banking.
Excellent communication, analytical, and interpersonal skills.
Strategic thinker with the ability to manage operational details.
High level of integrity, professionalism, and ethical standards.