Audit Mngr (Banking) - Relationship Mngr 100K
| Job code: |
82 |
| Job Category: |
Audit |
| City: |
Atlanta |
Job Description:
We are currently seeking an Audit/Relationship Manager in the Banking Industry
Incumbent will develop and maintain ongoing dialogue with key senior client representatives and adjust risk assessment/audit plans accordingly. Develop or oversee development of work plans for multiple, concurrent projects that effectively incorporate scope, staffing requirements, deliverables, timelines, budgets, and client availability. Create and actively manage talent management/succession plans to maintain the best resources within the division and The Company. Provide overall strategic leadership in ensuring the best overall quality of multiple, concurrent audit activities including project planning/risk assessment, fieldwork/testing work paper preparation, and audit report development. Serve as a role model, set high expectations for collaboration among clients and multiple teams across the division, and provide incentives for team members to take appropriate levels of ownership. Strongly influence the integration of technology within the audit process as well as understand how technology is relied upon and impacts the line of business operations. Take the lead in actively communicating and explaining the department mission, vision, and foundation to external departments and client representatives. Foster an environment that encourages audit staff to take appropriate levels of ownership and intelligent risks within their areas of responsibility. Demonstrate excellent communication and interpersonal skills.
Requirements include Bachelor's degree, 10 years minimum professional experience, and CPA and/or other certification preferred. Trust and Investment knowledge: Audit, Risk Management or compliance in a trust, investment management or brokerage environment. Strong technical knowledge and experience with Bank trust and investment products, services, policies and procedures, and a strong understanding of federal laws and the regulations pertaining to trust, investment services, (Investment Advisors Act and Investment Co. Act) and federal securities laws.