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Washington Trust Bank

Senior Auditor

Washington Trust Bank, Spokane, Washington, United States, 99254


Description Overview This technical and professional position is responsible for providing independent assessments and audits of the Bank and Holding Company's internal control and regulatory compliance mechanisms, accounting systems, and management's adherence to established policies and procedures. Work is performed within the framework of established audit standards and regulatory examination guidelines with independent judgment and discretion required in performing assigned tasks. The position assists in providing timely, accurate, and independent information to management and the Audit Committee relating to the effectiveness of controls, the accuracy of financial information, and the efficiency of operations. Primary Responsibilities Gather and analyze extensive data and interview bank personnel in order to understand the control environment and processes being audited. Design audit programs and testing strategies to execute audits to achieve desired audit objectives. Prepare audit workpapers, spreadsheets, narrative, and visual summaries of banking areas in conjunction with risk assessments and audits. Complete audit fieldwork, workpapers, audit findings, and reports to management and Audit Committees in accordance with professional internal audit standards. Acts as auditor-in-charge on complex audit projects, including supervising staff, workpaper review, and monitoring progress. Apprises higher-level audit personnel and management of the status of audit projects and progress toward completion. Present audit findings and recommendations to department and/or division management. Evaluate and make recommendations to management to strengthen the control environment, promote compliance with bank and regulatory policies and procedures, improve the efficiency of operations, and the accuracy of financial information. Assists management, as requested, in improving their internal control practices for new and existing environments. Assists in providing selected training to internal audit personnel and bank staff. Works closely with line management and staff to document and communicate findings. Assist the external auditors, regulators, and other examiners during their routine examinations of the Bank, as assigned. Assist the Director of Internal Audit in the preparation of the Annual Audit Plan. Update and develop audit programs, as assigned, adapting the audit approach as the circumstances warrant. Recommend methods to improve audit techniques, emphasizing efficient and creative use of audit resources and tools. Obtain and maintain professional certification and expertise through attendance at meetings of professional organizations, conferences, seminars, etc. Maintain knowledge of customer, industry, and other best practices and apply this knowledge to audit projects. Maintain and assess ongoing monitoring mechanisms for audit subjects throughout the audit cycle, as assigned. Perform compliance and risk management duties as required or assigned. Qualifications: Degree in Accounting, Business Finance or other business-related field preferred or equivalent experience. Banking knowledge including experience in performing operational and financial audits of core banking applications and/or regulatory examination practices. Professional certification preferred (e.g., CIA, CPA, CRCM, CFSA, CBA, CRP, etc.). Demonstrated ability in risk management techniques. Strong knowledge of generally accepted accounting principles and auditing standards. Strong knowledge of federal and state regulatory compliance issues and regulatory examination practices. Able to exercise discretion and maintain confidentiality. Ability to handle multiple projects simultaneously utilizing planning and organizational skills while maintaining a professional and mature demeanor. Able to prepare factual, organized, well written me