Job Description:
Job Description:
Responsible for audit testing of key areas and activities across the CFO – U.S. Centralized Regulatory Reporting organization, which includes governance, interpretation of report instructions, production and submission of OCC/FRB/FDIC U.S. regulatory reports (e.g.FR Y-14,FR Y-9C,FFIEC 009, FR Y-15, FFIEC 031), and substantive end-to-end testing of data from the reports through data transformations to data capture. The role also has a significant focus on executing testing around data capture and data usage.
Responsibilities:
- Executes transaction and controls testing of multiple regulatory reporting audits
- Monitors the progress of regulatory and internal audit issue validation
- Stays abreast of regulatory developments, emerging risks, and report/instruction changes; contributes to calibration of the plan
Skills:
- Strong critical thinking and communication skills
- Very organized with attention to detail
- Ability to learn complex subject matter, understand regulatory requirements, and build testing programs to ensure compliance and mitigate risks
- Proven track record of executing multiple projects and delivering high quality work to meet tight deadlines
- Strong interpersonal skills and effective communicator, both orally and in writing.
Required Qualifications:
- Greater than 3 years’ experience in a related role
- Bachelors Degree or equivalent work experience
- Specific subject matter expertise in audit and/or the financial services industry.
Desired Qualifications:
- Recommended subject matter expertise in U.S. regulatory reporting (e.g. Y-14, Y-9C, 009, Y-15, 031) or SEC financial reporting (10K/10Q)
- Experiencing in performing end-to-end substantive testing of data elements and transactions from a report to data capture/source documentation
- CPA, CIA, CISA or similar
1st shift (United States of America)