Internal Auditor – Wealth Management

New York, NY, US • Posted 12 hours ago • Updated 12 hours ago
Contract W2
No Travel Required
Able to Sponsor
On-site
$45 - $55/hr
Fitment

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Job Details

Skills

  • Wealth Management
  • Internal Audit
  • Regulatory Reporting
  • TRACE
  • CAT
  • CPA
  • CIA
  • Certified Internal Auditor
  • Certified Financial Planner
  • FINRA

Summary

LOCAL TO NY ONLY!

Wealth Management Internal Audit role focused on Regulatory Reporting business requires a candidate to act as the "third line of defense," independently assessing the firm''s internal control structure. For Stockplan-specific operations, this involves evaluating compliance with SEC and FINRA rules, particularly regarding trade reporting and employee equity compensation.

Core Responsibilities

Audit Lifecycle Management: Lead and execute audits across planning, scoping, testing operational design effectiveness, fieldwork, closure verification/validation and reporting phases within the Wealth Management business.
Regulatory Reporting Evaluation: Assess the adequacy and accuracy of various regulatory reports submitted to authorities. This includes performing walkthroughs to document process flowcharts and narratives.
TRACE, CATS Oversight: Validate the accuracy of Trade Reporting and Compliance Engine (TRACE), Consolidated Audit Trail (CAT). This involves:
Investigating and calling out anomalies via reporting
Coordinating the remediation of reported anomalies thru’ documentation and revision of controls
Stockplan/Wealth Compliance: Audit operations for compliance with fiduciary standards (e.g., OCC Reg 9) and test controls over electronic communications as per FINRA/SEC rules.
Remediation & Validation: Follow up on open audit issues and perform validation testing on management''s completed remediation plans.


Required Skills and Qualifications

Technical Knowledge: Deep understanding of investment vehicles, wealth management products, and financial regulations.
Audit Standards: Proficiency in internal auditing standards preferably for large banks in Wall Street or UBS, HSBC, etc..
Experience: typically 3–7 years in internal audit, internal controls assessment, or wealth management compliance.
Education & Certifications: Bachelor''s degree in Accounting, Business, or Economics. Preferred certifications include:
Certified Internal Auditor (CIA) or CPA.
FINRA Series 65 or 66.
Certified Financial Planner (CFP).

Employers have access to artificial intelligence language tools (“AI”) that help generate and enhance job descriptions and AI may have been used to create this description. The position description has been reviewed for accuracy and Dice believes it to correctly reflect the job opportunity.
  • Dice Id: 91122878
  • Position Id: 8905720
  • Posted 12 hours ago
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