Institutional Risk Vice President

Morgan Stanley

Confirmed live yesterday High trust

Quick summary

Work type
On-site
Location
New York, NY
Salary
$120,000–$170,000 / yr
Posted
31 days ago
Freshness
Confirmed live yesterday

Market check

Salary context

Below market

How this pay compares to similar roles

Similar $194k
This role $145k
$107k most similar roles pay here $246k

This role pays less than 80% of similar roles. Most pay $156,000–$232,175 — the shaded band above. At the midpoint, this role pays about $145k versus about $194k for comparable roles.

Based on 239 similar postings.

Employer

About Morgan Stanley

Morgan Stanley is a global financial services firm providing investment banking, securities, wealth management, and investment management services to corporations, governments, institutions, and individuals. Industry: Investment Banking & Financial Services

Morgan Stanley currently has 38 open roles on FindRole.

Listed pay typically runs $150,000–$210,000 across 31 roles with salary data.

Most-posted roles

View all roles at Morgan Stanley

At a glance

TL;DR · Institutional Risk Vice President

Institutional Risk Vice President The Institutional Risk Vice President joins the Client Segment Risk team to support the Institutional Consulting Solutions business. This role involves identifying, assessing, and monitoring risks across Corporate Cash, Government Entity, Graystone, and Retirement segments. The individual provides risk advisory services to business partners, designs control frameworks, manages governance routines, and oversees risk reporting and issue escalation. Additionally, the role supports the Institutional Portfolio Monitoring team by reviewing Investment Policy Statements, translating investment restrictions into rules-based monitoring criteria, and identifying portfolio variances. Key responsibilities include performing data mining, conducting account analysis, and managing remediation plans for identified risks. The candidate will utilize Microsoft Office tools, SharePoint, and potentially Clearwater Analytics or other portfolio monitoring technologies. This role addresses the complex challenge of ensuring institutional client portfolios adhere to specific investment mandates while strengthening internal risk oversight and operational controls.

What you'll do

  • Provide risk advisory support to business partners to identify, assess, and escalate risks across institutional products and processes.
  • Design, implement, and enhance control frameworks in partnership with technology, risk, and control teams.
  • Conduct data mining and analytics to identify emerging risks and provide executive-level reporting on risk metrics.
  • Monitor institutional client portfolios by translating Investment Policy Statements into rules-based monitoring criteria.
  • Identify and escalate portfolio variances to relevant stakeholders for immediate review and remediation.
  • Manage the lifecycle of risk incidents, including root cause analysis, remediation tracking, and "Lessons Learned" reviews.
  • Support internal and external audits by gathering evidence, coordinating responses, and managing issue tracking.
  • Improve operational efficiency by refining workflows, dashboards, and technology-enabled monitoring capabilities for the portfolio team.

What we're looking for

  • Bachelor's degree required; Finance, Economics, Business, or equivalent relevant experience preferred.
  • Seven or more years of financial services experience preferred, including risk management, institutional services, wealth management, compliance, or portfolio monitoring.
  • Strong knowledge of financial products, investment strategies, asset classes, and portfolio construction.
  • Familiarity with SEC, FINRA, and firm compliance policies, procedures, and supervisory expectations.
  • Proficiency in Microsoft Office, including Excel, Word, PowerPoint, and Project.
  • Experience with SharePoint development, maintenance, workflow support, or dashboard management.
  • Knowledge of Investment Policy Statements and rules-based portfolio monitoring is a plus.
  • Familiarity with Clearwater Analytics, portfolio monitoring technology, data analytics tools, or coding experience is a plus.

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