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Job Description

Job Description


The Central Testing team performs evaluation and operational effectiveness testing of internal controls on behalf of the First Line of Defence for all business lines and locations of State Street to support Business Risk Management (BRM) in assessing and continuously improving the bank’s control environment. This role is to evaluate and test internal controls and apply risk based assurance skills to business units globally on behalf of the BRM team.


The ideal candidate has some experience in a multinational financial services company performing work in a general risk management or control and process assessment environment (e.g. SOX, SOC, Internal Audit). They will ideally possess a good working knowledge and experience in performing walkthroughs and employing common control testing concepts, such as population identification and sampling, performing and documenting testing, identifying exceptions and the respective root causes as well as presenting issues to applicable parties. Some familiarity with any aspects of securities trading, asset management, custody banking, or fund services would be beneficial but is not essential.


Requirements


  • Good understanding of risk and controls in a financial services environment.
  • Some experience assessing the effectiveness of controls to ensure compliance with relevant regulatory requirements and corporate policy and procedures.
  • Intellectual curiosity, analytical and critical thinking skills.
  • Strong verbal and written communication skills in English to interact and maintain relationships with internal stakeholders including at relatively senior levels.
  • Strong organizational and time management skills; ability to perform multiple simultaneous tasks independently in a deadline-driven environment as well as to manage own time in order to meet deadlines.
  • Proficiency in Microsoft Office suite (Word, Excel, Outlook).
  • Self-motivated and adaptable professional with the ability to prioritize competing priorities while meeting deadlines.
  • Intellectual curiosity and an enthusiasm for learning and for developing

Beneficial but not essential:


  • Complete or partial professional qualification in an audit or related field (e.g. ACCA, ACA, CIA, CFA)
  • Some familiarity with common risk and control processes in securities trading, asset management, custody banking, or fund services.
  • Some knowledge and awareness of key regulations and current regulatory developments relevant to State Street’s businesses (e.g. AML/CFT, legal entity governance)

State Street's Speak Up Line



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