Regulatory Reporting Assurance - Team Lead
- Employer
- State Street Corporation
- Location
- Bangalore, India
- Salary
- Competitive
- Closing date
- Jul 17, 2024
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- Job Function
- Accounting/Audit/Tax
- Industry Sector
- Finance - General
- Employment Type
- Full Time
- Education
- Bachelors
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- Basic Purpose of Job:
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 predicated on collaborative business partnerships
- 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
- Perform risk assessments to identify areas requiring detailed testing
- Participate in reviews, including assessing the internal control environment, developing testing strategies and reviewing control and sample data testing
- Participate in discussions with process and control owners to assess inherent risks, identify controls and control gaps, by conducting walkthroughs
- Challenge, assess, detail test the design and operating effectiveness of controls
- Identify, document and maintain evidence supporting process and controls objectives. Lead the identification and risk assessment of issues and work with management to track issues to resolution
- Draft recommendations and liaise with the business units to remediate risks, findings and gaps identified during the validation process
- Facilitate completion of assigned deliverables and explain results
Job Requirements:
Education and Experience:
- Bachelor's Degree in Accounting, Chartered Accountant (CA) and/or Certified Public Accountant (CPA) or MBA, with 4-6 years of progressive auditing/regulatory experience; preferably financial services and/or Big 4
- Certified Internal Auditor (CIA) / Chartered Financial Analyst (CFA) certification or candidate is a plus
- Familiarity with Basel, FRB regulations and SEC requirements associated with the Financial Services Industry
- Knowledge/work experience on control testing and Data flows is a plus
- Understanding of the internal control environment
- Knowledge of US Basel regulations and US regulatory reports like FFIEC 101, FFIEC 102, FFIEC 031, Pillar 3 disclosures, FR Y 9C, FR Y 14Q, FR Y 9C, etc.
- Knowledge of banking products and services, especially loans, deposits, securities and derivatives
- Auditing skills and experience in the review and interpretation of regulatory requirements
- Strong oral and written communication skills; ability to effectively challenge and influence
- Demonstrated solid interpersonal skills and the ability to work collaboratively across all organizational tiers. A strong customer service mindset is a must
- Must be 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 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
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