PMO Specialist supporting project management and governance in banking. Ensuring compliance and coordination across various projects and initiatives within the organization.
Responsibilities
Support project governance by ensuring compliance with methodologies, frameworks, and best practices.
Monitor project progress, risks, and issues, providing reports and recommendations to stakeholders.
Coordinate meetings, prepare documentation, and follow up on action items.
Support project managers in planning, execution, and resource allocation.
Manage project dashboards, KPIs, and status reports to ensure transparency and alignment.
Assist in financial tracking, budget control, and resource management.
Work closely with cross-functional teams to ensure smooth execution of banking-related projects.
Requirements
2 to 5 years of experience in PMO, project coordination, or similar roles.
Experience in banking or financial services projects, especially in Corporate and Investment Banking.
Strong understanding of project management methodologies (Agile, Waterfall, or hybrid models).
Proficiency in tools such as MS Project, JIRA, Confluence, Power BI, or similar.
Excellent communication skills in English (both written and verbal).
Strong analytical mindset and problem-solving abilities.
Ability to work in a fast-paced, dynamic environment and manage multiple priorities.
Deputy Money Laundering Reporting Officer ensuring compliance with AML laws and regulations in Crown Dependencies. Collaborating with regulators and supporting business growth in financial crime risk framework.
Financial Crimes Specialist at Vanguard conducting investigations into suspicious financial activities. Mentoring team members and ensuring compliance within AML regulations while staying updated with industry trends.
AML Compliance Advisor providing guidance on compliance risks and supporting advisory processes at Capital One. Involves risk management, data analysis, and regulatory compliance evaluations.
KYC/AML Specialist at SEB supporting onboarding/review processes in Warsaw. Collaborating with cross - site teams to ensure compliance in Private Wealth Management & Family Office.
VP Financial Crime Controls SME leading controls testing for Tier 1 financial services organization. Providing strategic oversight and engaging with senior stakeholders while ensuring compliance with regulations.
Financial Crime Controls SME overseeing controls testing for a Tier 1 financial services organization. Providing expertise in Financial Crime risk management and compliance with regulatory standards.
Financial Crime Controls SME overseeing controls testing and design for a Tier 1 financial services organization. Engaging with stakeholders and ensuring regulatory compliance in a hybrid role.
Financial Crime Controls SME at a Tier 1 financial services firm. Responsible for controls testing and regulatory compliance in Financial Crime risk areas.
Financial Crime Controls SME focusing on controls testing and improvement in a Tier 1 financial services organization. Engaging in audit and regulatory remediation efforts within a structured environment.