キャリア採用エントリー Application Form - Experienced Recruiting
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リスク・マネジメント Risk Management
リスク・マネジメント統括部
本社における統合リスク管理等に関する企画推進及び部門運営業務 / Strategic planning, and departmental operations related to enterprise risk management
Senior Associate / Vice President
Nomura Group is a global financial institution headquartered in Japan, conducting a diverse range of financial businesses including Investment Banking, Global Markets, Asset Management, and Wealth Management.
The Group Risk Management Head Office serves as the strategy, planning and governance function for risk management within Nomura Group and is primarily responsible for the following:
(1)Strategic planning and leading initiatives to further enhance the risk management framework
(2)Management of the new product approval process and operation of committees that review individual businesses and transactions
(3)Stress testing and enterprise risk management
(4)Regulatory responses and disclosures related to risk management
(5)Risk-related data management
This position supports senior management, including the Chief Risk Officer, and leads global efforts to strengthen the Group’s overall risk management framework.
The successful candidate will mainly be responsible for strategic planning and operating enterprise risk management across the Group, as well as initiatives to improve the efficiency of departmental operations. Specifically, this includes:
・Establishing and revising the Group-level Risk Appetite Statement, and continuously reviewing the governance framework
・Enhancing and upgrading departmental MIS (Management Information System), including the creation of dashboards incorporating departmental KPIs/KRIs
・Strategic planning and execution of talent development and capability enhancement within the department
・Establishing, managing, and monitoring the departmental budget
Based on our Purpose, Mission, and medium- to long-term business strategy, the successful candidate will support decision-making and productive discussion among executive officers, in order to make risk management more advanced and effective.
In addition to internal functions within Risk Management (such as Market Risk, Credit Risk, and Operational Risk), this role involves daily and close communication with the Chief Risk Officer and senior management from other corporate functions and overseas offices including New York, London, Hong Kong, Singapore, and Powai. As such, the role requires the ability to effectively coordinate and consolidate diverse stakeholders’ opinions and bring them together smoothly. In carrying out this role, it is also essential to remain mindful of external stakeholders, including clients, shareholders, and regulatory authorities.
This position is for someone who aspires to play a central role in financial institutions and/or risk management in the future and work globally, or someone who is interested in corporate governance.
We are looking for someone who enjoys engaging with diverse values and talent within a global organization, and who can calmly organize challenges and work toward consensus even in situations where opinions differ.
The initial assignment will be the responsibilities described above, but over the medium to long term, there will be opportunities to experience a variety of positions related to risk management.
The base location is the Tokyo head office, but, depending on career goals, there may be opportunities to work at overseas offices such as New York, London, and Singapore in the future.
登録資格
Requirements
必須要件/Mandatory
金融機関、事業会社、コンサルティングファーム、監査法人、官公庁等での業務経験
企画業務、管理業務、分析業務、またはプロジェクト推進の経験
リスク管理、コンプライアンス、内部統制、経営企画等に関する経験
社会人経験7年以上
Experience working in a financial institution, consulting firm, audit firm, or government agency
Experience in strategic planning, governance, analytical work, or project execution
Experience in risk management, compliance, internal controls, or executive management
7+ years professional experience
あれば尚可/Preferred
金融機関におけるガバナンス体制の設計・構築や統合リスク管理に関する経験
海外の経験あるいは外資系企業での勤務経験
コンサルティングやプロジェクトマネジメントの経験
役員レベルとの頻繁なコミュニケーション経験
Experience in designing and building governance frameworks and in enterprise risk management at a financial institution.
Overseas experience or experience working in a global firm
Experience in consulting or project management
Experience communicating frequently with executives
能力・知識・スキル/Skills/Knowledge
論理的に物事を整理し、課題を把握・分析できること
関係者と円滑にコミュニケーションを取り、調整・推進ができること
変化のある環境でも主体的に行動し、柔軟に対応できること
資料作成や報告を分かりやすく行えること
日本語及び英語について、一方がネイティブレベル、もう一方がビジネスレベル以上
Excel、Word、PowerPoint等の基本的なオフィス・アプリケーション・スキル
金融や金融規制、リスク管理に関する基礎知識
Ability to logically organize information and identify/analyze tasks
Ability to communicate smoothly with stakeholders and coordinate/drive initiatives forward
Ability to take initiative and respond flexibly in a changing environment
Ability to prepare concise documents and reports
Native-level proficiency in one of Japanese or English, and business-level or higher proficiency in the other
Basic office application skills such as Excel, Word, and PowerPoint
Fundamental knowledge of finance, financial regulations, and risk management