Vice President, Senior Audit Manager, Global Treasury
Confidential, Boston, MA, United States
Vice President, Senior Audit Manager, Global Treasury
About the Company
Expanding provider of investment management, research, & trading services
Industry
Financial Services
Type
Public Company
Founded
1792
Employees
10,001+
Categories
- Financial Services
- Investment Management
- Consulting & Professional Services
- B2B
- Asset Management
- Boston
- Finance
- Insurance
- Publicly Traded
- Angel Investment
- Banking
Specialties
- investment management
- custodian
- etf
- financial products
- fund accounting
- relationship management
- research
- trading
- and investment servicing
Business Classifications
- B2B
About the Role
The Company is seeking a Senior Audit Manager for Global Treasury, Vice President. The successful candidate will be responsible for providing leadership in executing assurance coverage over key treasury functions, including capital and liquidity management, asset-liability management, and investment portfolio and bank funding. This role involves assessing strategic and operational activities associated with these functions on a global scale and participating in regulatory engagements, particularly in the US. The Senior Audit Manager will also be expected to engage with Treasury leadership to identify critical functions and key controls, plan and execute in-depth risk assessments, and influence improvements to processes and controls based on risk and control expertise. Applicants for this role at The Company should have a solid understanding of capital and/or liquidity regulatory requirements and management practices and experience in managing diverse teams and large-scale projects. The role requires excellent analytical, problem-solving, communication, interpersonal, organizational, and presentation skills. A Bachelor's degree in finance, accounting, or a related field is required, with a preference for an advanced degree or certification such as CFA, FRM, CPA, or CIA. The ideal candidate will have over 10 years of experience in public accounting, internal auditing, or balance sheet management, and a strong background in treasury-related areas such as liquidity risk management, asset-liability management, and portfolio management. The ability to manage complexity, prioritize tasks, and work independently in a fast-paced environment is essential.
Hiring Manager Title
Managing Director for Finance and Treasury
Travel Percent
Less than 10%
Functions
- Finance