Conduct financial statement audits in accordance with KPMG's audit and accounting practices and methodologiesPerform regulatory audits for banks, securities dealers, fund companies, asset managers, and insurance companies supervised by FINMA, using KPMG's regulatory audit methodologyLead and coordinate various audit engagements, overseeing the planning, execution, and completion phasesResearch and resolve complex technical accounting and regulatory queriesParticipate in ad-hoc regulatory assignments and advisory projectsReview and supervise the work of junior auditors, providing guidance and feedbackCommunicate findings and present audit reports to client management, highlighting key issuesReport directly to partners, directors, and managers, contributing to the achievement of both personal and firm-wide goalsRequirements :Bachelor's or Master's degree in Economics, Finance, Accounting, and / or Financial AuditEnrollment in or willingness to pursue a Chartered Accountant qualification (training provided)Minimum of 2 years' experience in the Financial Services Audit department of a Big 4 or another major audit firmSolid knowledge of banking accounting principlesFamiliarity with the Swiss regulatory environment for the banking sector (including FINMA circulars, AML regulations, and Basel III), as well as the CISA industryKnowledge of IFRS and / or US GAAP is a strong advantageFluent in English and French (both written and spoken); German is a plusExcellent communication and teamwork skills, with strong attention to detailCommitment to high standards of client service and professionalismProactive, resilient under pressure, flexible, and willing to travel
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