
Director, Internal Audit (PL)
- USA
- Permanent
- Full-time
- Audit Execution:
- Supervisor role in the execution of internal audit assignments for the enterprise.
- Expected to lead all aspects of a portfolio of multiple audits including: review and challenge of testing approach and testing conducted; review, challenge, and sign-off on audit deliverables; support of the audit team in meetings with key partners; and main point of contact with the assigned business unit leaders. Additionally, oversight of audit timelines, budget, resourcing, and achievements.
- Issues Identification: Oversight of issues identification, including: review and challenge of draft issue observations including the issue identified, compensating controls, ratings, and the appropriateness of management action plans prior to finalizing the reports.
- Issue Management and Validation: Oversight for completion and validation status (including SLA adherence) for issues in audit portfolio. Review and challenge completed issue validation testing results.
- Business and Project Monitoring: Oversight for business and project monitoring program execution to identify emerging risks. Participate or lead business and project monitoring meetings including key driver of the agenda/talking points. Provide updates for Monthly IAD Risk Monitoring meetings.
- Risk Assessment: Supervisory role for the annual risk assessment process - play key role in the annual Risk Assessment through all stages. Provide quarterly risk assessment and audit universe updates to IAD management. Review and challenge audit universe updates after the completion of each audit.
- Coaching: Provide support, mentoring, and feedback to the audit team throughout the audit. Key contributor to the formal performance evaluation process. Key contributor in the recruiting, onboarding, and ongoing buddy support to new team members.
- Regulatory: Oversight for completion and validation status (including SLA adherence) for MRAs received by the firm. This includes Review and challenge MRA validation work; evaluate the appropriateness of management’s draft responses to MRAs; perform retrospective reviews for adverse events (as required); Participate in regulatory meetings (i.e., exam, business monitoring, IAD monitoring); and provide responses to regulatory questions during exams.
- Administration/Training: Completion of firm-wide and departmental administration and training requirements.
- Other initiatives or special projects: Voluntary participation in departmental strategic initiatives.
- 12+ years of experience specific to internal audit and/or similar Big 4 Accounting or regulatory experience.
- 5-8 years of external audit and financial reporting experience preferred, ideally related to Banking, Broker Dealer or Asset Management firms.
- 5+ years of direct people management
- Demonstrated experience leading audits and their associated team members, amongst a complex operational and regulatory environment
- Ability to lead a project team and cultivate a strong working relationship with external co-sourcing provider, regulators, and internal lines of businesses.
- Strong understanding of prudential regulatory requirements.
- Clear understanding of regulatory expectations in the execution of audit work, issue validation, MRA validation, and the response to regulatory inquiries.
- Strong understanding of risks and internal controls and the ability to evaluate and determine adequacy and efficiency of controls.
- Stays current on industry and regulatory issues and standard methodologies; imparts this knowledge to the team and the auditees.
- Excellent analytical skills, including the ability to anticipate issues and to design appropriate solutions.
- Strong verbal and written communication skills with a demonstrated ability to articulate effectively and authoritatively.
- Uses relationships and insights to successfully influence others. Builds authentic and positive relationships to create alignment and support.
- Bachelor’s degree required.
- CPA, CIA, or CISA strongly preferred. Other relevant certifications will be considered (e.g. CFA, CFE).
- Financial Services experience including Banking, Broker Dealer and Asset Management a plus.