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Skills

  • Planning for retirement
  • Auditing financial discrepancies
  • Supervision
  • Understanding tax law
  • Team building
  • Legal risk management
  • Crisis management and response planning
  • Business continuity planning
  • Making insurance decisions
  • Advising on investments

Work Experiences

  • Achieved a 65% gain in competitive advantage.
  • Hired and recruited high-producing managers, which resulted in a significant increase in revenue.
  • Avoided a $6 loss in 2020.
  • Worked with others to brainstorm new procedure possibilities.
  • Developed a reputation for punctuality and hard work.
  • Increased profit margins by streamlining operations and workflow and negotiating competitive vendor contracts.
  • Appointed for risk advisory on category initiative, where detailed analysis led to regulatory approval without any penalties.
  • Collaborated with cross-functional teams to prioritize risk mitigation efforts resulting in Outstanding Service Award for best practices in 2015.
  • Adopted company-wide.
  • Interviewed clients to determine their income, expenses, insurance coverage, tax status, financial and investment goals, and risk tolerance in order to develop and implement strategic financial plans; I currently manage a client investment portfolio worth $10M.

Summaries

  • Procedure, program, and system are all available.
  • Ability to recognize procedure issues and integrate metric solutions to achieve category.
  • Strong technical skills and experience in data analysis.
  • Achieved results in just one year.
  • Achieved results within the past year.
  • Expert in system with a strong aptitude for optimized and automated.
  • Looking forward to taking on a new challenge with a successful team.
  • Risk Advisor and team leader with 18 years of experience in procedure settings.
  • Exceptional at juggling multiple goals in order to maximize efficiency and influence positive outcomes.
  • Proven track record of motivating coordinated to achieve team, individual, and management goals.

Accomplishments

  • Led the upgrade of key risk management tools, improving efficiency in risk analysis and response and reducing operational downtime by 72%.
  • Authored risk management policies that were adopted across 16 divisions, resulting in standardized practices that streamlined compliance efforts throughout the organization.
  • Drafted and presented comprehensive risk profiles for potential investments in the Southwest, enabling senior leadership to make informed corporate risk decisions and avoid disruptions in market operations.
  • Trained and mentored 5 junior team members in advanced risk management techniques, resulting in a 54% increase in team efficiency and improved risk identification.
  • Successfully managed crisis situations on standard, bringing the issue under control within 15 hours and reducing potential damages by $2.
  • Pioneered the use of SAP in risk assessments, streamlining the risk reporting process and reducing time to decision implementation by 12%.
  • Led the risk management function for a multi-million-dollar acquisition, ensuring that financial and operational risks were identified and mitigated before closing.
  • Played a critical role in compliance risk management for procedure, minimizing the organization’s penalty exposure by 11.
  • Reduced overall enterprise risk exposure by 50% through consistent implementation of newly-developed auditing mechanisms.
  • Implemented best practices for disaster recovery and business continuity planning, ensuring that key operations had 66% uptime during critical incidents in 2022.

Affiliations

  • Executive member of the metric Crisis Management Group, organizing crisis response drills and strategies.
  • Active participant in the National Investment Banking Association (NIBA), focusing on regulatory landscapes and risk reduction for financial institutions.
  • Earned the Compliance Risk Management Professional (CRMP) certification, establishing comprehensive competencies in managing compliance risks.
  • Attended the Risk and Regulation Summit 2022, providing insight on new frontiers in financial risk regulations.
  • Certified Financial Risk Manager (FRM) through GARP, with a focus on advanced quantitative analysis for investment risk.
  • Co-chair of the annual Risk Analytics Summit, facilitating discussions on risk modeling and data-driven solutions.
  • Certified Professional in Insurance Regulatory Compliance (CPCU), enhancing expertise in regulatory risk in the insurance sector.
  • Received OSHA from the International Association of Risk and Compliance Professionals (IARCP) focusing on emerging compliance risks.
  • Member of the Society of Corporate Compliance and Ethics (SCCE), contributing to discussions on improving corporate governance and compliance systems.
  • Speaker at the annual Global Risk Network Event on market volatility and hedging strategies for large portfolios.

Certifications

  • Certified Regulatory Compliance Manager (CRCM)
  • Risk Management in Finance (RMF) – standard
  • Professional Risk Manager (PRM) - Professional Risk Managers International Association (PRMIA)
  • Certified Professional in Regulatory Compliance (CPRC)
  • Certificate in Operational Risk Management – Brightline
  • Certified Financial Services Auditor (CFSA)
  • Certified ISO 27001 Lead Implementer
  • CFA Institute Investment Foundations Certificate
  • Certified Risk Management Professional (CRMP)
  • Certified in the Governance of Enterprise IT (CGEIT)

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