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Financial Risk Strategic Change Management, Vice President

LinkedIn State Street Boston, MA
Not Applicable Posted March 26, 2026 Job link
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Requirements
  • Strong understanding of Risk Technology and Data, coupled with an understanding of Financial Risk business processes.
  • The ability to recommend improvements on existing risk oversight processes.
  • Strong communication skills working and coordinating across multiple teams and constituencies.
  • Excellent influencing skills and the ability to liaise with multiple stakeholders at all levels, both internally and externally.
  • Strong understanding of information technology to enhance risk processes and architecture
  • Process improvement and BAU efficiency expertise
  • Energetic/motivator: an enthusiastic individual with proven leadership skills and an ability to motivate a diverse, multi-level workforce and instill a sense of urgency on a range of evolving goals and objectives.
  • Organizational strengths: an ability to organize resources, processes and priorities to ensure business needs are met in a coordinated, responsive and timely manner, with minimal direction
  • Confidence: a self-assured, experienced and knowledgeable individual able to quickly garner support for his/her views based on informed, well-presented direction or analysis.
  • Communicator: clear, confident, self-assured communication style, coupled with an ability to react and adapt to various audiences and environments without diluting effectiveness.
  • 7+ years of relevant experience in a Credit Risk Function in a financial institution
  • Demonstrated experiences in technological change implementation
  • Demonstrated understanding of Risk Oversight business processes.
  • Deep understanding of Financial Risk and relevant underlying data
Preferred Skills
  • 7+ years of relevant experience in a Credit Risk Function in a financial institution
  • Demonstrated experiences in technological change implementation
  • Demonstrated understanding of Risk Oversight business processes.
  • Deep understanding of Financial Risk and relevant underlying data
  • Bachelor degree required, Master degree in Finance or Economics a plus
Education
  • (Required) – Bachelor degree required, Master degree in Finance or Economics a plus