
Manager - Non-Financial Risk Reporting
Welcome to London Stock Exchange Group! We are currently seeking a motivated and experienced Manager to join our Non-Financial Risk Reporting team. As a global leader in the financial industry, we are committed to maintaining a strong risk management framework to ensure the safety and stability of our operations. In this role, you will play a crucial part in monitoring and analyzing non-financial risks across the organization, providing valuable insights and recommendations to senior management. We are looking for a candidate with a strong understanding of risk reporting and regulatory requirements, combined with excellent communication and leadership skills. If you are a detail-oriented and proactive individual with a passion for risk management, we would love to have you on our team!
- Develop and maintain a comprehensive understanding of the organization's non-financial risk management framework and regulatory requirements.
- Lead and manage the Non-Financial Risk Reporting team, providing guidance and support to team members.
- Monitor and analyze non-financial risk data to identify potential risks and trends within the organization.
- Collaborate with other departments and teams to gather relevant risk information and ensure consistency in reporting.
- Prepare and deliver timely and accurate risk reports to senior management, highlighting key findings and recommendations.
- Review and assess the effectiveness of current risk management strategies and make recommendations for improvements.
- Stay up-to-date with industry best practices and regulatory changes that may impact the organization's risk management framework.
- Act as a liaison between the Non-Financial Risk Reporting team and other departments, providing support and guidance on risk-related matters.
- Facilitate trainings and workshops to educate employees on non-financial risk management and reporting processes.
- Collaborate with external auditors and regulatory bodies during risk assessments and audits.
- Ensure adherence to all reporting deadlines and compliance with internal policies and procedures.
- Maintain a high level of confidentiality and integrity when handling sensitive risk information.
- Continuously identify areas for improvement and implement solutions to enhance the organization's risk management framework.
In-Depth Knowledge Of Risk Management Principles: A Manager Of Non-Financial Risk Reporting At London Stock Exchange Group Should Possess A Thorough Understanding Of Risk Management Frameworks, Methodologies, And Best Practices.
Strong Analytical Skills: The Ability To Analyze Complex Data And Identify Potential Risks Is Crucial For This Role. The Ideal Candidate Should Be Able To Use Data To Make Informed Decisions And Provide Accurate Risk Assessments.
Excellent Communication And Presentation Skills: As A Manager Of Non-Financial Risk Reporting, The Ability To Effectively Communicate Complex Information To Stakeholders At All Levels Is Essential. This Includes Creating Reports, Delivering Presentations, And Providing Recommendations For Risk Mitigation.
Regulatory Compliance Knowledge: The London Stock Exchange Group Operates In A Highly Regulated Environment. The Ideal Candidate Should Have A Strong Understanding Of Relevant Regulatory Requirements And Be Able To Ensure Compliance In All Risk Reporting Processes.
Leadership And Team Management Experience: This Role Requires Strong Leadership Skills To Manage A Team Responsible For Risk Reporting. The Ideal Candidate Should Have Previous Experience In Managing A Team And The Ability To Motivate And Develop Team Members To Achieve High-Quality Results.
Risk Management
Process Improvement
Project Management
Data Analysis
Communication
Reporting
Compliance
Team Leadership
Risk assessment
Problem-Solving
Stakeholder management
Regulatory Knowledge
Communication
Conflict Resolution
Leadership
Time management
flexibility
Critical thinking
Teamwork
Adaptability
Problem-Solving
Empathy
According to JobzMall, the average salary range for a Manager - Non-Financial Risk Reporting in Bengaluru, Karnataka, India is between ₹ 1,000,000 - ₹ 2,500,000 per year. This salary range can vary depending on factors such as the company, industry, experience level, and other qualifications.
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London Stock Exchange Group Plc engages in the facilitation of international markets exchange platforms. It operates through the following business activities: Capital Formation, Risk and Balance Sheet Management, and Intellectual Property.

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