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Senior Vice President, Supervision and Conduct Controls Group Lead

BNY · Pune, MH, India

Imported listingfull-timeabout 3 hours ago

About The Role

We’re seeking a future team member for the role of Senior Vice President, Supervision and Conduct Controls Group Lead to join our Markets Controls team. This role is located in Pune, Maharashtra.

In this role, you’ll make an impact in the following ways

  • Act as the Regional Controls Lead for the India-based Markets Controls team, providing leadership, oversight and governance coordination across first line control activities.
  • Lead execution of the regional controls agenda to support a strong, consistent and sustainable control environment across a geographically distributed organization.
  • Oversee supervision and conduct control activities, ensuring effective implementation, monitoring, escalation and remediation of control issues.
  • Support the delivery of key risk and control priorities in alignment with business objectives, enterprise standards and regulatory expectations.
  • Coordinate responses to regulatory, audit, compliance and internal review commitments, driving timely execution, disciplined tracking and sustainable closure of actions.
  • Partner with senior business leaders and control stakeholders to identify emerging risks, assess control implications and drive appropriate action.
  • Oversee governance routines, reporting and management information for regional control activities, including issue tracking, thematic analysis, key metrics and escalation of material matters.
  • Drive consistency in control execution, accountability and governance standards across India-based Markets Controls roles.
  • Promote a strong culture of supervision, conduct and risk ownership by embedding controls into day-to-day business activities and reinforcing sound decision-making.
  • Lead, coach and develop a high-performing team while fostering collaboration, continuous improvement and disciplined execution.

To be successful in this role, we’re seeking the following

  • Bachelor’s degree or equivalent combination of education and experience required; advanced degree or relevant professional certification preferred.
  • Extensive experience in markets controls, supervision, conduct risk, operational risk, compliance, audit or first line control management within financial services.
  • Strong understanding of risk and control frameworks, governance processes, issue management and regulatory expectations in a complex banking or markets environment.
  • Demonstrated ability to lead regional or distributed teams and deliver consistent execution across multiple stakeholders, priorities and locations.
  • Experience managing regulatory, audit and internal control commitments, including remediation planning, oversight and governance.
  • Strong analytical, problem-solving and decision-making skills, with the ability to identify trends, assess impact and escalate issues appropriately.
  • Excellent verbal and written communication skills, including the ability to influence senior stakeholders and present clearly on risk and control matters.
  • Proven ability to operate effectively in a fast-paced, highly regulated environment while managing competing priorities and delivering high-quality outcomes.
  • Experience producing executive-ready governance materials, management reporting and control-related insights.
  • Track record of building strong partnerships across business, risk, compliance, legal and audit functions.

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