At least 15 years of financial services sales and trading audit and/or relevant experience, preferably within the Banking or Financial Services industry and/or strong knowledge of/experience in Global Markets/Investment Banking lines of business and support functions e.g. Product Control, Middle Office, Risk Management, Compliance, Operations, Settlement and Collateral management.
Knowledge of Fixed Income markets products, including Rates, FX, Credit, Municipals, Commodities, Financing, Mortgages and Securitized Products businesses, high touch, electronic and derivatives trading activities.
Strong understanding of financial instruments valuation; with a focus on trading and hedging strategies for the cash products (Stocks and Bonds), Swaps (IRS and CDS), futures, options, otc derivatives, prime brokerage, securities lending and financing products e.g. Repo.
Candidate should also be familiar with key securities industry regulations e.g. Volcker, DF Real Time Reporting, SEC Capital and Client Asset rules and US market structure as well as the key processes and controls within the Business Supervision, Market Conduct, Finance, Operations and Middle Office functions.
Awareness of basic application controls, as well as proficiency with spreadsheets and other analytical tools would be an advantage.
Understanding of applicable regulatory rules.
Excellent verbal and written communication skills.
Ability to interact with staff and managers across audit teams as well as key stakeholders in business areas including Front Office, Finance, Operations and Middle Office functions.
Ability to work in a team environment and supervise multiple project teams.
Bachelors or equivalent experience or Masters degree. CPA, CA or CFA preferred.
Awareness of basic application controls
Intermediate proficiency at using spreadsheets
Familiarity with key US laws and regulations pertaining to banking and broker/dealer securities trading & sales activities.
1st shift (United States of America)
Hours Per Week:
Referral Bonus Amount: