- Prior experience in the audit of L&C functions in a major Investment Bank.
- The candidate should have many of the skills and qualifications listed below:
- 10-15 years in Audit with significant focus in L&C ideally at an investment bank
- Expertise in multiple areas within L&C relevant to the audit portfolio (Market Abuse Surveillance, Conflicts Management, Compliance Advisory, AML/KYC, Sanctions, Anti-Bribery and Corruption (ABC), Conduct Risk Management, and Legal, including the use of Master Agreements).
- Expertise in understanding and assessing relevant Compliance, Financial Crime and Legal risks and controls, and a good understanding of the role of technology within L&C.
- Experience in designing and executing data analytics to improve audit efficiency.
- Good understanding of US market structure, and the regulatory compliance environment.
- Demonstrable knowledge of wholesale banking, broker dealer and swap dealer activities and related regulatory framework/regulations.
- Leadership skills and an ability to work across teams.
- Confident manner and well-developed communication (both verbal and written), influencing, interpersonal and project management skills.
- Ability to effectively discuss control issues with senior auditees.
- Ability to lead the development of risk-based audit plans under the audit methodology to assess the effectiveness of L&C functions.
- Strong analytical skills with the ability to identify key risks and formulate audit plans, with sound judgement on the criticality and impact of issues raised.
- Strong time and project management skills, consistently delivering to deadlines (budget and time).
- A bachelor's degree supported by work experience in Compliance and Legal or as an auditor in a financial services firm, consulting firm or Big 4 firm.
- Perform moderately complex BSA/AML audits including drafting audit reports, presenting issues to the business, and discussing practical solutions.
- Proficiency with BSA/AML regulatory requirements for investment / wholesale banking activities, products and services
- To provide advice and guidance on the design and operation of financial crime systems and controls, by which the Americas region mitigates financial crime risk.
- Additional Certifications like CAMS, CIA, CISI or equivalent.
- Regulatory Understanding for the following would also be beneficial
- Regional financial market regulations and licensing requirements
- HKMA & SFC regulatory framework and guidelines
- MAS requirements
EMEA:
- EU Financial Services regulations
- UK regulatory framework post-Brexit
- PRA/FCA requirements
- EU AML directives
- GDPR and data protection requirements
- MiFID II/MiFIR implementation
Understanding of Cross Border Knowledge specifically:
- Extra-territorial application of regulations
- Cross-border transaction requirements
- International sanctions regimes
- Global AML/CTF standards
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