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In this role, you will make an impact in the following ways:
- Leads or performs audits of Corporate Treasury (ex. Liquidity Mgmt., Reporting, Stress Testing, Funding, IRRBB, etc.), Chief Investment Office (Bank Investment Portfolio), and Risk (Liquidity & Market) activities and works as a team member on audit assignments.
- Leads or executes risk-focused planning, fieldwork, and reporting, in accordance with Internal Audit policies, methodologies, and standards in order to identify meaningful issues, risks and other exposures.
- Responsible for ensuring testing (or other tasks as applicable) is adequate and accurate to allow an evaluation of adherence to company policies and procedures, audit methodologies, and all applicable regulations.
- Demonstrates skills and understanding of businesses and processes through flowcharting, work papers, analysis, issue identification and discussions with management and auditees.
- Identifies inconsistencies within the control environment, regulatory requirements and best practices and able to clearly explain the audit process to clients, as well as any findings or results.
- Applies advanced analytical problem-solving skills and leads others in solving complex issues and identifying innovative solutions.
To be successful in this role, we're seeking the following:
- Bachelor's degree or equivalent combination of education and work experience required.
- Degree in Accounting, Finance, or Economics preferred.
- 7-10 years of total work experience preferred.
- Prior experience in Audit, Corporate Treasury, Investment Portfolio, Reporting, or Risk preferred.
- Additional core skill requirements include understanding of the applied and interpretation of analytics results for Audit, critical thinking and problem solving.
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