Confidential
Vice President, Internal Audit Swap Dealer Compliance
Confidential, New York, New York, us, 10261
Vice President, Internal Audit Swap Dealer Compliance
About the Company
Top-tier global financial institution
Industry
Financial Services
Type
Privately Held
About the Role
The Company is seeking a Vice President for Internal Audit with a focus on Swap Dealer compliance. The successful candidate will be responsible for leading high-impact audits that encompass derivatives oversight and regulatory risk management on a global scale. This role demands a professional with a deep understanding of internal audit within financial services, particularly in the areas of swap regulations, risk frameworks, and capital markets operations. Key responsibilities include leading end-to-end audit engagements, conducting control assessments, evaluating internal controls, and presenting findings to senior leadership. The role also involves contributing to the enhancement of audit methodology and infrastructure and building strong relationships with global stakeholders to monitor evolving risk landscapes.
Applicants for the Vice President, Internal Audit - Swap Dealer Compliance position at the company should have 8-10 years' of experience in internal audit, compliance, or risk within the financial services sector. Expertise in swap regulations, including Dodd-Frank Title VII, CFTC, SEC, and NFA, as well as a strong knowledge of derivatives products, is essential. The role requires a candidate with strong communication and leadership skills, experience in managing cross-functional teams, and a Bachelor's degree or higher in a relevant field. Professional certifications such as CPA, CIA, or similar are preferred. Proficiency in Microsoft Office and familiarity with data analytic tools are also key requirements for this position. Travel Percent Less than 10% Functions Finance Operations
Applicants for the Vice President, Internal Audit - Swap Dealer Compliance position at the company should have 8-10 years' of experience in internal audit, compliance, or risk within the financial services sector. Expertise in swap regulations, including Dodd-Frank Title VII, CFTC, SEC, and NFA, as well as a strong knowledge of derivatives products, is essential. The role requires a candidate with strong communication and leadership skills, experience in managing cross-functional teams, and a Bachelor's degree or higher in a relevant field. Professional certifications such as CPA, CIA, or similar are preferred. Proficiency in Microsoft Office and familiarity with data analytic tools are also key requirements for this position. Travel Percent Less than 10% Functions Finance Operations