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Title:  Risk and Control First Line Support & Supervision, Manager




Requisition ID: 90527


Join the Global Community of Scotiabankers to help customers become better off.


In this role as a Risk and Control First Line Support & Supervision Manager, you will become a valuable team member in the Operational Risk Oversight (ORO) group. You will contribute to the overall success of the SBUS control framework by working with the first line of defense/1A business to ensure all activities conducted are in compliance with governing regulations, internal policies and procedures. You will provide 1st line of defense assistance by serving as a subject matter expert in managing non-financial risks inherent to products and services offered by Scotiabank’s US capital markets businesses.


Is this role right for you?

  • Assist team members to execute 1st line responsibilities (remediation and BAU) related to the US compliance rule and control library
  • Assist group in conducting supervisory reviews (e.g. trade, electronic communications, voice communications)
  • Ability to communicate with Capital markets personnel on detailed risk, control and regulatory issues
  • Assist the team in Risk Assessment (ORM/Compliance) execution and liaise with 1A to identify processes, risks, controls and corresponding ratings.
  • Help coordinate in the collation of information and execution required by regulators and internal audit to facilitate the latter’s examinations/reviews
  • Assist in analyses of risk events to ascertain underlying causes and formulate action plans to address process breakdowns
  • Help execute delegated supervisory tasks from the businesses (Line 1A)
  • Assist to monitor adherence to trade-related controls designed to manage risk and compliance; for example, but not limited to: limit breaches, market abuse, fair dealings with clients, auctions and compliance with regulatory requirements
  • Act as the escalation point for incidents (e.g. delays in signing off daily P&L, errors, disputes), investigate and remediate as necessary
  • Risk, control and regulatory experience in Capital Markets businesses able to effectively communicate with multiple stakeholders aligned to his/her level in business/trading, operations and risk conversations
  • Able to offer assistance to team members for work with the front office capital markets businesses with risk and control related activities related to operational/process, regulatory obligations,  risk, and compliance issues and internal/external obligations
  • Subject matter knowledge in regulatory rules for capital markets businesses such as Broker Dealer, CFTC, Derivatives, DFA, Volcker, etc.
  • Assist in the development and maintenance of supervisory procedures at the business line/desk level
  • Help develop and provide training to business line (1A) personnel on non-financial risks, controls and supervision procedures
  • Help generate key metrics (KRIs/KPIs) and reports on supervisory and operational risk topics for senior management when needed
  • Evaluate impact on operational risk management from changes resulting from business expansion into new geographies, new products and services, organic business growth, system changes/new implementation, regulatory requirements
  • Assist in the review regulatory and audit findings and work with business line management (Line 1A) to formulate responses
  • Other duties and projects as may be assigned from time to time
  • Partner with business line managers to address operational risk, risk assessment and outstanding issues
  • Develop and implement new monitoring supervisory reports, as required

Do you have the skills you need to succeed? We'd love to work with you, if you have:

  • 5-10+ years’ experience of capital markets front office environment
  • Knowledge of capital markets process, capital markets expertise to effectively interpret input from Business leaders and Subject Matter Experts (“SMEs”) 
  • Past experience of working with regulations and familiarity with latest laws
  • Knowledge in relative capital markets risks and controls
  • Working knowledge of compliance risks/rules and controls and mitigating those risk for broker dealer and derivatives/swap businesses
  • Experience in the operational aspects, compliance and business matters for SBUS capital markets business lines
  • Series 7, 63, 24 or willingness to obtain these (in a short period of time)


Location(s):  United States : New York : New York City 

As Canada's International Bank, we are a diverse and global team. We speak more than 100 languages with backgrounds from more than 120 countries. Our employees are committed to a superior customer experience and use the Bank’s six guiding sales practice principles to ensure they act with honesty and integrity.


At Scotiabank, we value the unique skills and experiences each individual brings to the Bank, and are committed to creating and maintaining an inclusive and accessible environment for everyone. If you require accommodation (including, but not limited to, an accessible interview site, alternate format documents, ASL Interpreter, or Assistive Technology) during the recruitment and selection process, please let our Recruitment team know. If you require technical assistance, please click here. Candidates must apply directly online to be considered for this role. We thank all applicants for their interest in a career at Scotiabank; however, only those candidates who are selected for an interview will be contacted.

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