This role focuses on evaluating the adequacy and effectiveness of controls across a range of financial products and services, with particular emphasis on Second Line of Defense functions such as Global Financial Crimes (AML, KYC and Fraud), Compliance, Legal, Outsourcing and Operational Risk. The Internal Audit Division provides independent assurance over the Firm's risk management, governance, and control processes. Through risk‑focused audit coverage, the team identifies vulnerabilities, assesses control effectiveness, and delivers impactful insights to senior management to strengthen the Firm's overall control environment. This position offers exposure to senior , regulatory expectations across multiple jurisdictions, and evolving financial crime risks, providing an excellent opportunity to develop technical expertise and audit leadership within a dynamic and high‑impact environment.
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