Assistant Audit Coordinator

Sutton BankAttica, OH

About The Position

Partners with the Audit Coordinator to serve as a liaison to internal and external auditors/examiners. Responsible for communicating requested items for internal audits, compliance audits, and exams. Ensures all requested material/documentation is complete and received on a timely basis.

Requirements

  • Associates degree in accounting, business or finance.
  • Two years of bank operations experience.
  • Equivalent combination of education and experience.
  • The ability to communicate effectively and clearly, both in verbal and written communications.
  • Excellent interpersonal skills.
  • Strong knowledge of the business area that is being supported.
  • Self-directed and motivated.
  • The ability to manage multiple tasks.
  • Excellent problem-solving skills.
  • Ability to calculate figures as it relates to the job processes.

Nice To Haves

  • Bachelor's degree preferred.

Responsibilities

  • Assists Audit Coordinator with gathering requested documentation to ensure internal deadlines are met for timely submission to auditors and examiners.
  • Serves as liaison for specific audit/exam activity within the Bank.
  • Coordinates all audit/exam activity with external auditors/examiners.
  • Assists internal auditor and examiners with numerous site visits.
  • Participates in planning the audit cycle to determine functions/departments to be reviewed and dates scheduled.
  • Maintains audit logs for Board Audit Committee and Management review.
  • Solicits information from Bank personnel to update logs.
  • Inputs status updates until finding is resolved.
  • Performs monthly deposit account documentation review.
  • Ensures new accounts were opened properly and all required forms, disclosures and documents are present and complete.
  • Logs errors.
  • Presents log to retail and payments staff for timely correction and follow-up.
  • Performs monthly deposit file maintenance reviews and presents exceptions to retail management.
  • Performs monthly dormant account review and presents exceptions to retail management.
  • Serves as backup to review the FIS e-Access Reporting System to verify proper identification, OFAC and CIP checks have been obtained on all new deposit account owners/signers at account opening.
  • Maintains FIS e-Access log with discrepancies, gather documentation and update logs.
  • Communicates with the BSA Officer on any accounts without taxpayer identification.
  • Assists in maintaining the Onspring application module for audit tracking.
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