Job Summary
The Assurance Manager, Risk Advisory Services is responsible for managing and delivering high value solutions to clients in the areas of Internal Auditing and internal control, including business risk assessment, business process improvement/transformation, regulatory compliance, risk management, information technology audit & control, financial and operational audit, business conduct and/or Sarbanes-Oxley (“SOX”). In this role, the Assurance Manager, Risk Advisory Services is charged with managing a team of professionals through all stages of an internal audit and/or consulting engagement to include planning, field work, engagement wrap up and report composition, along with providing recommendations regarding relevant client business risks. The Assurance Manager, Risk Advisory Services will also be responsible for providing suggestions to improve the internal controls and operating procedures of assigned clients, as well as managing certain aspects of engagement administration.
Job Duties
Supervisory Responsibilities:
Supervises the day-to-day workload of RAS-FS Senior Associates and Associates on assigned engagements and reviews work product to ensure both professional and the firm’s quality standards are met Ensures RAS-FS Senior Associates and Associates are trained on all relevant software Evaluates the performance of RAS-FS Senior Associates and Associates and assists in the development of goals and objectives to enhance professional development Delivers periodic performance feedback and completes performance evaluations for RAS-FS Senior Associates and Associates in accordance with Firm guidance Acts as mentor to RAS-FS Senior Associates and Associates, as appropriateQualifications, Knowledge, Skills and Abilities:
Education:
Bachelor’s degree in Accounting, Finance, required MBA or other relevant advanced degree, preferredExperience:
Six (6) or more years of banking, asset management, brokerage, and/or other financial services experience within a public accounting firm or financial institution performing internal audits, consulting, compliance and/or risk advisory services, required Experience with internal controls, including SOX/FDICIA, process control design, preparation of flowcharts & control matrices, documentation and testing of controls, and identification and reporting of control “gaps”, required Experience conducting audit planning, developing audit programs, performing testing, preparing work papers, and drafting audit reports, required Three (3) or more years of prior supervisory experience, required Minimum five (5) years of experience in performing internal audits of banking, asset management, brokerage, and/or other financial services activities, preferred: Lending Activities (e.g., Consumer Loans/Commercial Loans/Portfolio Management/Problem Loan Management / ALLL) Treasury and Finance (e.g., Accounting & Controllers/Investments & Treasury/ALM/Liquidity Mgmt./Borrowing/Reg. Reporting) Core Regulatory Requirements (e.g., Consumer/Lending/Privacy/Operational/Compliance/Risk Management) Bank/Asset Management/Brokerage Operations (e.g., Branch Admin. & Retail Banking/Electronic Banking/Deposit Operations/Vendor Management/ERM/Trade Execution - Capture, Match, Settle, Reconcile and Report/New Client On-Boarding/Account Management) Human Resources (e.g., Payroll/Employee Benefits/Regulatory Compliance/Ethics Management/Training Program) Experience performing process reviews, systems reviews, and reviews of application controls, preferredLicense/Certifications:
CPA, CIA, CISA, and/or CFSA, preferredSoftware:
Proficient in the use of Microsoft Office Suite, including Excel, Word, and PowerPoint, required Experience with ACL and/or IDEA, and MS Access, preferred Experience in the use of various assurance applications and research tools as is appropriate for this level, preferredOther Knowledge, Skills & Abilities:
Solid understanding and experience planning and coordinating all stages of an internal audit Knowledge of internal accounting controls and professional standards and regulations Strong verbal and written communication skills, specifically business / report writing Ability to adapt style and messaging to effectively communicate with professionals at all levels both within the client organization and the firm Ability to successfully multi-task while working independently and within a group environment Superior analytical and diagnostic skills and ability to break down complex issues and implementing appropriate resolutions Able to work in a demanding, deadline driven environment with a focus on details and accuracy Solid project management skills Sound knowledge and familiarity with the Institute of Internal Auditors International Standards for the Professional Practice of Internal Auditing (“IIA Standards”) Solid grasp of general IT control concepts Excellent people development and delegation skills, including training/instruction and engagement scheduling and budgeting Executive presence to act as primary contact for clients while preparing and presenting to clients and potential clients Able to resolve complex business issues Build and maintain strong relationships with internal and client personnel Ability to travel 20% to 40% of the time, when necessary Foster a positive demeanor, continuous learning attitude / growth mindset, and client service mentality with staff and seniors
Individual salaries that are offered to a candidate are determined after consideration of numerous factors including but not limited to the candidate’s qualifications, experience, skills, and geography.
California Range: $120,000 - $145,000
Colorado Range: $120,000 - $145,000
Illinois Range: $120,000 - $145,000
Maryland Range: $120,000 - $145,000
Minnesota Range: $120,000 - $145,000
NYC/Long Island/Westchester Range: $120,000 - $145,000
Washington Range: $120,000 - $145,000
Washington DC Range: $120,000 - $145,000