Regulatory Response, Analyst

Do you feel stuck in a job and need a change? Are you a talented business professional with auditing experience? Are you interested in the opportunity to work for an industry-leading company? To be part of a dynamic team that works hard, but has fun doing it? If so, then we may have the solution for you. 

State Street's Corporate Audit Department

State Street's Corporate Audit Department carefully recruits staff with a combination of backgrounds, including prior audit experience in internal and external audit practices, information technology, and specialized areas such as regulatory compliance and securities trading.

Our team of professionals is responsible for providing independent, objective assurance and advisory services designed to add value, minimize risk and improve the overall control environment of State Street Corporation and its subsidiaries.  Our auditors interact and communicate regularly with executive management and have tremendous insight into all parts of the company's daily operations.  Our audit team acts as:

Independent advisors--advising management on risks related to strategic initiatives, organization, process and systemic changes;

Advocates--identifying and helping to mitigate risks associated with protecting and increasing shareholder value;

Subject matter specialists and controls experts--providing knowledge and experience in key risk areas;

Efficiency specialists--identifying inefficiencies in risk management and control design;

Problem-solving partners and prognosticators--peering ahead to help management envision future risks and opportunities.

As a member of State Street Corporation's Audit Division you will be part of a culture where teamwork and collaboration are encouraged, excellence is rewarded, and diversity is valued. We offer flexible schedules, continuous training and global exposure.

Regulatory Response Team Analyst, job requirements

The Regulatory Response Analyst is responsible for aiding in the analysis of regulations impacting internal audit activities and the analysis, education, and sharing of pertinent business regulations to the Corporate Audit Division. 

Develop and maintain an inventory of regulations impacting internal audit's practices and activities, review the Division practices for compliance with regulations, and manage actions plans with designated owners

Work with business and/or regulation-aligned PMOs to learn how operations have been impacted and what information to highlight changes can be shared to educate the Division

Assist in the developing a knowledge management framework and determining a consistent manner to share regulatory information to the Division

Create education materials where necessary

Assist in the development and support of the global audit methodologies, driving continuous improvement and fostering the sharing of knowledge across the Division

Skills and Qualifications

Professional with 6-8+ years relevant audit, compliance and/or regulatory experience within a global complex banking organization

Ability to manage ambiguity

Understanding of risk and control in relation to processes and procedures, audit expertise a plus

Ability to help translate and present emerging and regulatory "hot topic" risk areas into information available for the Division

Ability to develop and maintain effective working relationships with Corporate Audit's senior leadership team and key business partners

Excellent analytical, communication, client service, time management, research and communication skills

Strong project management, organizational skills and presentation skills

Accuracy and attention to detail

Experience leading teams and projects

Execute concurrent projects while consistently meeting deadlines with minimal supervision

Ability to work in a small team with a fast pace

BS or BA degree required

May 29, 2013 • Tags: , • Posted in: Financial

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