Basic Purpose of Job:The Regulatory Reporting Assurance (RRA) department is a management assurance team in the Controller’s Organization within Corporate Finance. The Regulatory Assurance team is responsible for the independent verification of controls and processes over global regulatory reporting, including Liquidity reporting, Basel, Comprehensive Capital Analysis and Review (CCAR), and areas of high risk and enhanced regulatory focus. The primary focus of the team is the review and assessment of the quality of information pertaining to reporting, conformance to regulatory instructions, and the assessment of relevant risk management programs. The team works closely with other functions across Finance, Global Treasury, Risk Management and Business Units, as well as other assurance functions. This is an opportunity to join a transforming group and actively participate in its development and maturity, to learn about key regulatory requirements and gain an understanding of all areas of the company’s business.RRA has a mission to:
Provide credible challenge to management to drive compliance with regulatory and policy requirements
Support executive management and the board by reporting on the effectiveness of key financial and regulatory processes
Advise in the proactive identification of operational and compliance risks and effective mitigation strategies through effective business partnership
Offer risk and control insights to improve business results that are predicated on collaborative business partnershipsKey Responsibilities:
Build and continuously develop a dedicated team to achieve and sustain an effective assurance function and best-in-class controls and substantive testing program
Design and deliver annual risk-based plans to assess the effectiveness of the First Line of Defense, and serve as an increasing basis of reliance for the Third Line of Defense and the external auditors
Develop and communicate opinions in the effectiveness of First Line of Defense activities, escalating issues as appropriate
Serve as a subject matter expert to the organization on controls, substantive testing, and risk mitigation strategies
Drive activities and reviews to meet regulatory requirements for a management assurance function
Execute a framework to test if the internal systems supporting compliance with regulatory requirements and expectations are properly designed, documented and implemented and include appropriate governance and data quality controls
Lead the identification and risk assessment of issues; draft recommendations and liaise with business units to remediate risks, findings and gaps identified during the validation process; work with management to track issues to resolution
Engage key business partners to facilitate completion of assigned deliverables and explain results
Cultivate relationships across the Finance organization and Corporation with key constituency groups, such as Regulatory Reporting, Product Controllers, Operations, Treasury, Technology and Risk
Manage the local team: review and provide feedback on team deliverables; recruit, retain and develop individuals
Identify and drive transformation efforts to further enhance the functionality of RRA as a management assurance team
Use appropriate data analytic and statistical tools and techniques to analyze a variety of data sources; use technology to help drive enhancement in assurance review testing and reporting workflow
Develop internal partnerships to provide opportunities for more efficient solutions to various data, systems, and applications issues
Develop subject matter expertise in regulatory requirements, best practices and expectationsJob Requirements:Education and Experience:
Bachelor’s Degree in Accounting, Chartered Accountant (CA) and/or Certified Public Accountant (CPA) 14-15 years of progressive auditing experience; preferably financial services and/or Big 4
Certified Internal Auditor (CIA) / Chartered Financial Analyst (CFA) certification or candidate is a plus
Familiarity with FRB regulations and SEC requirements associated with the Financial Services Industry
Experience with building analysis solutions and using analytics / BI packages desirable (e.g. Tableau, ACL, Business Objects, SAS, MicroStrategy, Spotfire, QlikView)Skills/ Knowledge:
Strong knowledge of Liquidity reporting which include FR 2052a, NSFR etc.
Deep understanding and appreciation of the internal control environment
Knowledge of banking products and services, especially loans, deposits, securities and derivatives
Auditing skills and experience in the review and interpretation of regulatory requirements.
Knowledge of the other key regulatory reports submitted to the FRB and European regulators (included but not limited to the FR Y-14Q, FR Y-14A, FR Y-9C, FR Y-15, FR 2052a, FFIEC 101, FFIEC 102, FFIEC 031,FINREP, COREP etc.)
Exceptional analytical and critical thinking abilities; able to develop and convey a point of view
Strong oral and written communication skills; ability to effectively challenge and influence
Demonstrated leadership capabilities with solid interpersonal skills and the ability to work collaboratively across all organizational tiers. A strong customer service mindset is a must
Proactive and a goal oriented strategic thinker with ability to identify creative solutions
Demonstrated ability to manage workloads and prioritize deliverables; ability to be flexible
Strong attention to detail and accuracy
Ability to multi-task and take on a challenging workload and assignments
Ability to be proactive with minimal direction, ability to work independently and meet deadlines
Ability to thrive in a team environment, working collaboratively with others
Inquisitive and curious about business and functions, strong desire to learn
High energy and positive attitude
Professionalism, dependability, integrity and trustworthiness combined with a cooperative attitude