Yoh Services LLC
SVP-Global Audit (HYBRID)
Yoh Services LLC, Lake Mary, Florida, us, 32795
SVP-Global Audit (HYBRID)
needed for a
contract
opportunity with Yoh’s client in
Lake Mary, FL.
*PERM opportunity
*up to $150k based on experience
*HYBRID schedule
What You’ll Be Doing:
Internal Audit is the Third Line of Defense within our Bank’s risk and control framework and functions as an independent, objective assurance group. This role is part of the Markets, Credit Services, Marketing and Communications, Market Risk and Global Client Management Audit team which is responsible for independent coverage of the risk and control framework including the risk undertaken and owned by the First Line of Defense as well which ensures the effective management, implementation, and adherence to the overall risk management strategy for the Bank.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 market risk management, global markets trading, securities finance, liquidity and segregation and credit services.Functions as a subject matter expert for enterprise market risk management (MRM) related audits and regulatory issue validations.Providing senior leaders with insight and analysis on key aspects of the Market Risk Management (MRM) framework including market risk regulatory capital calculations, related regulatory reporting (FFIEC102), VaR/SVaR back testing, Stress testing, market risk limits, covered position recognition, implementation of forthcoming Fundamental Review of the Trading Book (FRTB) requirements.Familiar with regulatory requirements including 12 CFR 217.204 (Market Risk Capital Rule).Providing Senior Management with recommendations and consultation to improve and 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).Identifying and providing recommendations on Risk and Controls’ improvements across the organization.Identifies opportunities for the use of automation and makes recommendations for software support requests.Required:Bachelor's degree or equivalent combination of education and work experience required.10-12 years of total work experience preferred.Prior experience in Audit management and/or knowledge and experience in the following areas preferred:
Market Risk Management; including global regulatory requirements.Capital Markets, including:
Fixed income & Equities TradingB/D compliance
Foreign Exchange Trading (Spot, Forwards, Derivative, Options)Derivatives Trading (Interest Rates/Equity)Swap Dealer (CFTC Rule Compliance)Securities FinanceLiquidity/Collateral Segregation services.
Lending products, including related Credit Risk.Additional core skill requirements include understanding of the applied and interpretation of analytics results for Audit, critical thinking and problem solving.What’s In It For You?This is a unique opportunity to support our client; one of the world's largest financial services companies. Medical benefits and 401K are available.Get Hired, Apply Now!Recruiter:
Lisa Hughes
#J-18808-Ljbffr
needed for a
contract
opportunity with Yoh’s client in
Lake Mary, FL.
*PERM opportunity
*up to $150k based on experience
*HYBRID schedule
What You’ll Be Doing:
Internal Audit is the Third Line of Defense within our Bank’s risk and control framework and functions as an independent, objective assurance group. This role is part of the Markets, Credit Services, Marketing and Communications, Market Risk and Global Client Management Audit team which is responsible for independent coverage of the risk and control framework including the risk undertaken and owned by the First Line of Defense as well which ensures the effective management, implementation, and adherence to the overall risk management strategy for the Bank.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 market risk management, global markets trading, securities finance, liquidity and segregation and credit services.Functions as a subject matter expert for enterprise market risk management (MRM) related audits and regulatory issue validations.Providing senior leaders with insight and analysis on key aspects of the Market Risk Management (MRM) framework including market risk regulatory capital calculations, related regulatory reporting (FFIEC102), VaR/SVaR back testing, Stress testing, market risk limits, covered position recognition, implementation of forthcoming Fundamental Review of the Trading Book (FRTB) requirements.Familiar with regulatory requirements including 12 CFR 217.204 (Market Risk Capital Rule).Providing Senior Management with recommendations and consultation to improve and 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).Identifying and providing recommendations on Risk and Controls’ improvements across the organization.Identifies opportunities for the use of automation and makes recommendations for software support requests.Required:Bachelor's degree or equivalent combination of education and work experience required.10-12 years of total work experience preferred.Prior experience in Audit management and/or knowledge and experience in the following areas preferred:
Market Risk Management; including global regulatory requirements.Capital Markets, including:
Fixed income & Equities TradingB/D compliance
Foreign Exchange Trading (Spot, Forwards, Derivative, Options)Derivatives Trading (Interest Rates/Equity)Swap Dealer (CFTC Rule Compliance)Securities FinanceLiquidity/Collateral Segregation services.
Lending products, including related Credit Risk.Additional core skill requirements include understanding of the applied and interpretation of analytics results for Audit, critical thinking and problem solving.What’s In It For You?This is a unique opportunity to support our client; one of the world's largest financial services companies. Medical benefits and 401K are available.Get Hired, Apply Now!Recruiter:
Lisa Hughes
#J-18808-Ljbffr