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Senior Associate - Institutional NFR, Corporate Finance
About the role
ANZ's Institutional Bank seeks a Senior Associate - Institutional NFR, Corporate Finance in Bengaluru to support Non-Financial Risk management across Corporate Finance products such as Corporate Lending, Structured Finance, Project Finance, Acquisition Finance, and Syndicated Lending. Working under senior NFR colleagues, the role partners with business, product, sales, operations, technology, legal, compliance, and control stakeholders to provide practical risk support, strengthen the control environment, and enable safe, sustainable, customer-focused outcomes. The position operates at the Junior Associate Director level on a hybrid work model.
What you’ll do
- Support senior NFR colleagues in providing practical risk advice and challenge across Corporate Finance products, client solutions, strategic initiatives, and business change activities
- Prepare analysis on risk profiles, control effectiveness, customer outcomes, and risk implications associated with Corporate Finance activities and related business processes
- Translate business, operational, and technology risk information into clear insights, reports, and recommendations for stakeholders and governance forums
- Assist in the identification, assessment, monitoring, and reporting of non-financial risks across Corporate Finance activities, including operational, compliance, technology, cyber, data, fraud, third
- Support control uplift initiatives by maintaining risk and control documentation, collating evidence, analysing key risk indicators, and tracking actions, issues, and remediation plans
- Contribute to the timely completion of risk assessments, control reviews, issue management, incident response, and remediation activities
- Support risk input for new lending products, client solutions, business process enhancements, regulatory change initiatives, and Corporate Finance transformation activities
- Prepare and maintain governance materials, issue updates, action trackers, and supporting documentation for relevant risk and business forums
What you’ll bring
- 10+ years of experience in Financial Services, Corporate Finance, Non-Financial Risk, Operational Risk, Controls, Governance, Compliance, Audit, or Risk Management roles
- Strong understanding of Corporate Finance products and activities, including Corporate Lending, Structured Finance, Project Finance, Acquisition Finance, Syndicated Lending, and related client solutio
- Sound understanding of Non-Financial Risk management concepts, including risk assessments, controls, issue and incident management, governance, risk reporting, and risk-in-change
- Awareness of key risks relevant to Corporate Finance businesses, including operational, compliance, conduct, technology, cyber, data, fraud, third-party, financial crime, and resilience risks
- Ability to analyze risk and control information, identify emerging themes, prepare clear documentation, and escalate issues appropriately
- Experience supporting governance processes, action tracking, risk assessments, remediation activities, control uplift initiatives, and regulatory change programs
- Strong written and verbal communication skills, with the ability to summarize complex information for stakeholders and governance forums
- Proven stakeholder management and collaboration skills, with the ability to work effectively across business, risk, and control functions
Skills
Benefits
- Flexible working options, including hybrid work where the role allows it
- Access to health and wellbeing services