Do work that matters
You will support the activities of Portfolio and Market Risk’s Line 1 Operational Risk and Governance team in a manner consistent with CBA’s values. Working with the Senior Manager Operational Risk & Governance, you will identify, investigate and resolve control gaps or weaknesses, undertake deep dive analysis of incidents relating to control remediation.
See yourself in our team
Portfolio and Market Risk Management covers the development and validation of methodologies for risk measurement information covering: Credit Risk IRB Models, Operational Risk Models, Economic Capital, Regulatory Capital and Funds Transfer Pricing. Market Risk Management covers policy development, independent oversight, reporting, model development and capital calculation for both Traded and Non Traded Market Risk originated within IB&M, Group Treasury and Wealth Management.
On any given day you will
Your path looks like
If you live and breathe the values and demonstrate the people capabilities we can offer great opportunities both within Portfolio and Market Risk and beyond the wider CBA group. We’ll help you find the next step that’s right for you and enable you to be your best.
We’re interested in hearing from people who: