Audit Oversight Specialist

Company:  VDart
Location: Charlotte
Closing Date: 26/10/2024
Hours: Full Time
Type: Permanent
Job Requirements / Description
Functional Role: Audit Oversight Specialist
Hybrid in Mount Laurel, NJ
Contract
Key Points:
  • Seeking candidates with audit/regulatory experience, especially in IT. Former auditors would be ideal candidates.
  • Strong communication skills are essential.
  • Experience in Capital Markets is a plus but not as critical as former audit experience.
Job Description:
  • Lead the assessment and monitoring of non-technical risk processes and control operations across the organization, focusing on areas such as compliance, AML, HR, legal, fraud, and operational risk.
  • Develop, implement, and maintain policies and standards to manage non-financial risks in alignment with regulatory requirements and industry best practices.
  • Collaborate with business units to identify, evaluate, and mitigate non-financial risks, ensuring robust control environments are established and effectively monitored.
  • Coordinate with compliance, legal, and regulatory teams to stay informed of new regulations and changes to existing laws, analyzing their impact on the non-financial risk framework and control operations.
  • Facilitate the development and implementation of risk mitigation strategies, control improvements, and corrective action plans in response to identified risk exposures, audit findings, or regulatory reviews.
  • Conduct regular reviews and audits of business processes and controls to ensure compliance with established policies, standards, and regulatory requirements.
  • Provide expert guidance and support to business units in understanding and fulfilling their non-financial risk management responsibilities.
  • Prepare and present detailed reports and analyses to senior management and relevant committees, highlighting the status of non-financial risks, control effectiveness, and compliance with regulatory requirements.
Required Skills:
  • Bachelor's degree in Business Administration, Finance, Law, or a related field. Advanced degrees or professional certifications related to risk management, compliance, or audit (e.g., CRISC, CAMS) are preferred.
  • 3-5 years (5-7 years for L10) of experience in risk management within the banking or financial services sector, with proven experience in process and controls operations assessment.
  • Extensive knowledge of regulatory requirements and industry standards related to compliance, AML, HR, legal, fraud, and operational risk.
  • Demonstrated ability to develop and implement risk management policies and control frameworks.
Additional Desired Qualifications:
  • Strong analytical and problem-solving skills, with a keen attention to detail and the ability to address complex risk and control issues.
  • Excellent communication and interpersonal skills, able to effectively engage with and influence stakeholders across various levels of the organization.
  • Proficient in risk assessment methodologies and tools, with the ability to conduct thorough reviews and audits of business processes and controls.
  • Strategic thinker with the foresight to anticipate changes in the regulatory landscape and their implications for non-financial risk management practices.
  • Strong project management and organizational abilities, with the capacity to manage multiple priorities and initiatives simultaneously.
Apply Now
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