Vice President, Auditor, Markets

In this role, you will make an impact in the following ways:

  • Oversees risk-focused audit activities, in accordance with Internal Audit policies, methodologies, and standards to identify meaningful issues, risks and other exposures in areas being audited.
  • Collaborating with Audit Leadership team to determine and prioritize regulatory priorities and business strategies.
  • Working as an “in-charge” on audits and/or regulatory validations related to Swap Dealer Risk Management, market risk management, global markets trading, securities finance, liquidity and margin services.
  • Familiar with key aspects of the Market Risk Management (MRM) framework including market risk regulatory capital calculations, related regulatory reporting (FFIEC102), VaR/SVaR back testing, market risk limits, covered position recognition, implementation of forthcoming Fundamental Review of the Trading Book (FRTB) requirements. etc.
  • Has demonstrated ability to articulate difficult concepts to others, adapting communication methods/approaches as necessary.
  • Providing Senior Management with recommendations and consultation to improve reimagine audit processes and practices.
  • Identifies inconsistencies with the control environment, regulatory requirements and best practices and initiates the development of a structure or solution to address the issue(s).
  • Strong project management skills creating long- and short-term plans, including setting targets for milestones and adhering to deadlines.
  • Working with relevant stakeholders to deliver, monitor and communicate progress towards goals.
  • Identifying and providing recommendations on improvements across the organization
  • Identifies opportunities for the use of automation and makes recommendations for software support requests.
  • No direct reports. Demonstrates leadership through work guidance and training of less experienced peers and through advice to assigned clients.

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

  • Bachelor's degree or equivalent combination of education and work experience required.
  • 7-10 years of total work experience preferred.
  • Prior experience in Internal Audit and/or Knowledge and experience in the following areas preferred:
    • Market Risk Management; including global regulatory requirements
    • Capital Markets, including:
      • Fixed income & Equities Trading
      • Broker Dealer compliance
    • Foreign Exchange Trading (Spot, Forwards, Derivative. Options)
    • Derivatives Trading (Interest Rates/Equity)
    • Swap Dealer (CFTC Rule Compliance)
    • Securities Finance
    • Liquidity and Margin services
  • Familiarity with new innovative AI-enabled audit testing and continuous auditing concepts is a plus.
  • 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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