The Associate Director, Conduct & Compliance Risk sits within the Institutional Conduct & Compliance Centre of Expertise (COE) and plays a critical role in driving best practice and continuous improvement in Conduct and Regulatory Risk Management across the Institutional Division.
As a trusted Line 1 Risk leader, you will partner closely with frontline business teams, Enterprise Risk theme experts, and Non-Financial Risk (NFR) stakeholders to strengthen the management of Conduct and Regulatory Risk across Institutional Banking. You will focus on end-to-end customer journeys, value chains, and risk and control environments to ensure sustainable risk outcomes.
This role leads top-down risk assessments, supports regulatory and policy change implementation, identifies emerging risks and control weaknesses, and partners with the business to design and embed effective conduct and compliance controls.
Role Location: Bengaluru
Role Type: Permanent, Full-time