Group Audit Manager WM Risk & ComplianceAufgabenAnalyzing and assessing several Wealth Management Risks assumed by the business.Controlling Market-, Credit-, Operational-, Legal- and Compliance-Risks.Identifying and evaluating the effectiveness of controls designed to address those risks.Providing practical, innovative, and value‑added solutions to issues identified.Preparing reports of audit findings for senior management at local, global, functional and Group levels.Regularly and openly communicating with senior management on any findings or risks that they are facing.Monitoring the results, risk profile and developments within Wealth Management and Risk & Compliance and providing input for periodically reassessing the audit plan.QualifikationMaster or Bachelor / CPA or CIA, as an advantage.Experience in audit, compliance, 2nd LoD, or internal control areas within the bank industry optimally with focus on Wealth Management.Good understanding of the financial market, of operational aspects, as well as process flows within and between banks and counterparts.Thorough knowledge of local regulatory requirements.Flexible and committed team player.Travel for audit assignments (5%).Fluent in German and English.
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