Elevate your Risk Analysis career with a leading financial client as a Senior Risk Advisor/Internal Audit. This role focuses on regulatory compliance and control testing, making a substantial impact on risk management initiatives.
Working with a top financial institution, you'll support control testing projects and regulatory compliance efforts. This senior role is ideal for professionals with 5-7 years in risk management or internal audit. You will collaborate with various stakeholders to improve controls and mitigate risks in a quick-paced environment.
Key Responsibilities:
• Serve as a control advisor for risk management
• Conduct control testing and internal audits
• Coordinate with external and internal auditors
• Manage deliverables and project timelines
• Monitor regulatory changes and business impacts
Requirements:
• 5–7 years in risk management or auditing
• Expertise in risk assessment and internal controls
• Strong knowledge of regulatory compliance
• Excellent communication and organizational skills
• Preferred certifications such as CPA or CIA
Leverage your risk analysis expertise to support major compliance initiatives and enhance control frameworks.
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