The Risk and Audit Specialist provides critical execution support across the Bank’s independent risk management and oversight functions. This role reports to the Internal Audit Manager and is primarily responsible for executing the Bank’s audit program, while also assisting with the monitoring and surveillance activities of the Compliance and BSA/AML areas. Preservation of the Three Lines of Defense To maintain the integrity of the Bank’s governance framework, this role operates under strict protocols: First Line (Operations): The employee will have no decision-making authority over Bank operations or lending. Second Line (Compliance, BSA/AML): The employee will assist in monitoring and surveillance of risk. Third Line (Internal Audit): the employee will provide independent testing. Crucially, the employee will not audit any specific second line processes.
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Job Type
Full-time
Career Level
Entry Level