The Internal Audit Manager Markets and Securities Compliance is responsible for leading and executing audit engagements related to the BBVA US Operations (NY Branch markets, BBVA Securities broker-dealer,.. related auditing). This role ensures compliance with applicable regulatory requirements (SEC, FINRA, NFA, CFTC, FRB and NYS DFS) while assessing the effectiveness of internal controls across trading, operations, finance, and compliance functions. The role requires deep expertise in NY Branch and broker-dealer operations, financial reporting, and regulatory obligations to ensure the firm maintains a robust control environment that supports its supervisory, compliance, and risk management frameworks.