Corporate Compliance and Financial Crimes Compliance Audit, Assistant Vice President (AVP) The Corporate Compliance and Financial Crimes Compliance Audit, Assistant Vice President (AVP) will provide independent, objective assurance over the design and execution of the Bank’s Financial Crime and/or Compliance practices established through Compliance’s internal infrastructure, frameworks, policies, management reporting, and board reporting. In this role, under the direction of senior audit management, the individual will oversee individual audit engagements and lead teams through all aspects of the audit (planning, assessments, testing, and reporting). This individual will contribute to maturing the Corporate Audit (CA) function and supporting various departmental initiatives. The role is based in Toronto, Canada or Krakow, Poland. Who We Are Looking For Candidates should have some experience in Financial Crime Compliance or other Regulatory Compliance relevant to financial services. The successful candidate must thrive in a fast‑paced environment and possess strong auditing capabilities. The individual will facilitate effective communication and coordination with business management at all levels and must have excellent written, verbal, interpersonal, and presentation skills. The successful candidate will develop a thorough understanding of the company’s operations, establish effective business relationships within the company, and assist management in adapting internal control principles. They are expected to dig deep and learn end‑to‑end compliance/FCC processes and regulations. What You Will Be Responsible For Develop and lead a team of audit professionals for supervision, planning and executing complex audits and projects. Review audit workpapers to ensure execution is in line with internal and IIA standards and the conclusions are properly supported. Draft audit reports that clearly communicate overall conclusions, including key risks, identified issues, root causes, and impact on overall business strategy. Plan and manage teams of audit professionals and contracted resources in executing all phases and key milestones of an assigned audit/review. Supervise effective and efficient testing of key controls. Manage on‑site project teams in documenting audit activities in accordance with professional standards and ensuring documentation meets high quality standards. Work in partnership with business area management to communicate expectations and manage any project issues that may arise during the audit engagement. Establish and maintain strong and effective client relationships with business management across the lines of defense and assist management in understanding and implementing internal control principles. Escalate audit issues to senior management and interact with business lines and senior managers to develop and negotiate solutions. Demonstrate strong knowledge of FCC and Compliance practices and regulatory expectations and requirements. Maintain current knowledge of audit industry practices and ensure best practices are always considered. Provide ongoing counsel, training, development, and motivation to staff. What We Value Ability to manage complexity, prioritize multiple tasks, work independently in an international team across multiple locations with global stakeholders, and support the overall team. Experience in Financial Crime around US regulatory requirements for Anti‑Money Laundering and Financial Crime. Experience in US and international regulatory expectations for Corporate Compliance oversight of first line of defense regulatory compliance activities. Strong auditing skills and knowledge of key regulations and current regulatory developments relevant to State Street’s businesses. Collaboration, determination, energy, inquisitiveness, intelligence, and articulation. Strong communication skills, both verbal and written, to effectively communicate with senior leaders within business divisions. Excellent written, verbal, interpersonal, and presentation skills. Fluency in English. Education & Preferred Qualifications Internal Audit and relevant Regulatory Compliance or Financial Crime experience in the financial services industry (5+ years) as a minimum. Degree‑level education and relevant professional qualification with post‑qualified experience. An understanding of key regulations impacting State Street. Additional Requirements Travel up to 5% may be required. Salary Range $91,000 - $140,500 Annual Equal Opportunity Employer As an Equal Opportunity Employer, we consider all qualified applicants for all positions without regard to race, creed, color, religion, national origin, ancestry, ethnicity, age, disability, genetic information, sex, sexual orientation, gender identity or expression, citizenship, marital status, domestic partnership or civil union status, familial status, military and veteran status, and other characteristics protected by applicable law. #J-18808-Ljbffr
Fraud, Financial Crimes And Compliance Auditor, Assistant Vice President
STATE STREET
toronto, toronto
Published 27 days ago
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