The Audit Manager I – Issue Validation (Insider Risk/Internal Fraud) is responsible for executing Regulatory Issue Validations specifically related to Internal Risk/Internal Fraud. This includes ensuring that all activities are conducted in accordance with relevant policies and regulatory requirements, with a strong focus on identifying, evaluating, and mitigating potential internal fraud risks. The Audit Manager I will play an active role in planning, executing, and documenting validations and audits that address insider risk/internal fraud concerns. This position ensures that audits are aligned with management expectations and regulatory standards and are completed efficiently. The role also involves providing support, building, and maintaining relationships with senior management, and contributing to the ongoing enhancement of risk management practices, with an emphasis on internal fraud prevention and detection. Depth & Scope: Works as an audit subject matter expert and may coach and educate others Oversees and/or independently performs audits from end-to-end May lead moderately complex audits and have responsibility for completion of the audit Undertakes and completes a variety of projects and initiatives, may include the integration of cross functional processes within own area of expertise Ability to process and handle confidential information with discretion
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Job Type
Full-time
Career Level
Mid Level