Leading and managing critical large portfolio programs including risk & liquidity regulatory programs, strategic and operational initiatives.
Responsible for end-to-end delivery of business priorities & deliverables for their portfolio. Responsible for maintaining, tracking and coordinating a detailed roadmap, product plan and product backlog in sync with stakeholder priorities.
Responsible for all Exec Reporting, stakeholder communication, program financials and risk management for their portfolio.
Required Skills & Experience
Minimum 10-15 years of solid hands on PM experience in Capital Markets/Financial Regulatory Program/Liquidity or Credit Risk Reporting.
Good understanding of Capital Markets/ Financials Products/ Liquidity or Credit Risk Reporting