Manager - Financial Risk Supervision

Rhajobs

Australia
**
Lead frontline supervision
Financial market infrastructures
Regulatory supervision
** The Reserve Bank of Australia (RBA) is seeking a Manager for Financial Risk Supervision to lead a team responsible for supervising financial market infrastructures critical to Australia’s financial system. The ideal candidate will possess strong leadership, communication, and analytical skills, with a deep understanding of Australian financial markets and regulatory frameworks. **

Job Summary

  • Lead frontline supervision of critical financial market infrastructures to contribute to improving the safety and resilience of the Australian financial system.
  • Responsible for leading the teams’ supervision and risk assessment of licensed clearing and settlement facilities, including formulating and communicating supervisory recommendations.
  • Join a collaborative and high performing team at the RBA, offering development and career opportunities in a supportive environment that promotes flexibility and wellbeing.

Matching Summary

Match Score: 75

** The Reserve Bank of Australia (RBA) is seeking a Manager for Financial Risk Supervision to lead a team responsible for supervising financial market infrastructures critical to Australia’s financial system. The ideal candidate will possess strong leadership, communication, and analytical skills, with a deep understanding of Australian financial markets and regulatory frameworks. **

Skills & Requirements

Must-have

  • Lead frontline supervision
  • Financial market infrastructures
  • Regulatory supervision
  • Risk assessment
  • Financial Stability Standards
  • Crisis management response framework

Nice-to-have

  • Collaborative and high performing team
  • Motivated and energetic team leader
  • Open discussion and collegial debate
  • Flexibility and wellbeing support
  • Equity, diversity, and inclusion

Key Requirements

  • Proven ability to lead a dynamic team
  • Strong verbal and written communication skills
  • Strong understanding of Australian financial markets
  • Experience with post-trade/financial market infrastructures and regulation
  • Relevant tertiary qualification in finance, risk or related discipline
  • Excellent critical thinking skills
  • Data and technical analysis capabilities
  • Familiarity with R would be an advantage

Work Rights

Not specified

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