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Corporate Governance Audit Manager - Remote

Dallas, TX · Accounting/Finance
We are currently seeking a talented Corporate Governance Audit Manager for remote opportunity or you can work in our Dallas, San Antonio or Phoenix office.

MUST have Large Financial / Banking Institution Experience.

The Corporate Governance Audit Manager plans, directs and independently completes highly complex and often cross-functional risk-based assurance and advisory engagements and/or audit quality assessments. Manages strategic initiatives and assists with the development and implementation of a risk-based audit plan. Serves as a business and/or information technology SME, analyzes issues and makes decisions, establishes collaborative client relationships; and proactively works with client management to improve internal controls. Adheres to the Institute of Internal Auditors' Standards and Code of Ethics.
  • As a subject matter expert, provides recommendations to leadership and guidance to staff members.
  • Promotes the development of effective team relationships and functions in various capacities to ensure the success of team efforts. Approves the scope of the audit. 
  • Updates and ensures the universe risk assessment is current with applicable research and industry feedback.
  • Independently prepares, reviews, and leads special reviews, investigations, monitoring activities, and work for external auditors and/or regulators. Ensures assigned engagements are completed objectively, professionally, and in accordance with corporate and industry audit standards.
  • Executes and leads audit fieldwork on assigned internal audit engagements with limited to no supervision in support of execution of the annual audit plan.
  • Manages engagement-related efforts and assignments of staff with varying degrees of expertise and experience when conducting engagements, specialized audits or highly complex business audits recognizing the cross-matricing and cross-functionality within the specialized functions/business areas.
  • Coaches and mentors others on the use of various business systems, applications, and audit tools.
  • Proactively identifies control weaknesses and opportunities for improvement in the current operating environment and provides recommendations for corrective action.
  • Drafts the related audit issues and audit reports for issuance to respective client leadership and conducts follow-up activities as defined in the observations.
  • Provides input into the creation of the internal audit universe and annual plan. Participates in the development of the strategic annual plan ensuring risks are appropriately identified and rated and assists with the implementation of the annual plan.
  • Builds and enhances client relationship across the organization helping to drive strategic objectives with the business.  Communicates with the business/clients to include delivering difficult messages.  May be asked to communicate with regulators and executive leaders.
  • Influences business and clients across the enterprise in regards to effective internal controls and mitigating risks across the full taxonomy.
Minimum Requirements
  • Bachelor's degree in Accounting, Finance, Information Technology or other relevant field OR four additional years of related experience beyond minimum required may be substituted in lieu of a degree.
  • 8 or more years of audit, financial, insurance, banking, information technology or related business experience.
  • Subject matter expert knowledge in Audit theory with demonstrated experience in one or more of the following areas: regulatory, AML, GSD, compliance, risk, models, IT.
  • Subject matter expert level business acumen in business operations, industry practices, and emerging trends
  • 5+ years auditing the Corporate Governance of a large Financial Institution, OR 10+ years being responsibility of developing and/or maintaining the Corporate Governance function
  • 6+ years experience in large retail bank internal audit departments’, OR equivalent audit experience
    • Equivalent = minimum 6 years as:
      • Federal Regulator for banks (FDIC, OCC, Federal Reserve) with experience supervising large banks with assets > $80B
      • Top tier firm (Big 4, Protiviti, Treliant etc.) with experience auditing or consulting with large banks with assets > $80B
  • 6+ years experience as a Federal Reserve Regulator in large bank supervision.
  • Advanced knowledge of internal controls, and subject matter expertise on the regulatory expectations of Risk Management in a large Financial Services Institution as well as experience within the internal audit function.
  • Experience with audit engagement support tools including electronic workpapers.
  • Proficiency in the use of data mining and analytic tools for auditing such as ACL, and SAS
  • Subject matter expert level business acumen in business operations, industry practices, and emerging trends.
  • Preferred designations include:
    • CRCM (Certified Regulatory Compliance Manager)
    • CIA (Certified Internal Auditor)
    • CISA (Certified Information Systems Auditor),
    • CFSA (Certified Financial Services Auditor) or other relevant business designation
Our client offers one of the best benefits packages in the business, including a flexible business casual or casual dress environment, comprehensive medical, dental and vision plans, along with wellness and wealth building programs. Additionally, our career path planning and continuing education will assist you with your professional goals.

To be considered for this exciting growth opportunity, please apply now.
For more information, please apply below or contact us
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