Internal Audit- C&L Business Audit - Sr.VP - Bengaluru in Bengaluru at honor foundations

Date Posted: 10/24/2024

Job Snapshot

Job Description

Internal Audit-Compliance & Legal, Senior Vice President, Bengaluru

The Goldman Sachs Group, Inc. is a leading global investment banking, securities and investment management firm that provides a wide range of financial services to a substantial and diversified client base that includes corporations, financial institutions, governments, and individuals. Founded in 1869, the firm is headquartered in New York and maintains offices in all major financial centers around the world. We commit people, capital and ideas to help our clients, shareholders and the communities we serve to grow. Our people are our greatest asset – we say it often and with good reason. It is only with the determination and dedication of our people that we can serve our clients, generate long-term value for our shareholders and contribute to the broader public. We take pride in supporting each colleague both professionally and personally. From collaborative workspaces and ergonomic services to wellbeing and resilience offerings, we offer our people the flexibility and support they need to reach their goals in and outside the office

INTERNAL AUDIT

In Internal Audit, we ensure that Goldman Sachs maintains effective controls by assessing the reliability of financial reports, monitoring the firm’s compliance with laws and regulations, and advising management on developing smart control solutions. Our group has unique insight on the financial industry and its products and operations. We’re looking for detail-oriented team players who have an interest in financial markets and want to gain insight into the firm’s operations and control processes.

WHAT WE LOOK FOR

Goldman Sachs Internal Auditors demonstrate strong risk and control mindsets, analytical, exercise professional skepticism and are able to challenge and discuss effectively with management on risks and control measures.  We look for individuals who enjoy learning about audit, businesses and functions, have innovative and creative mindsets to adopt analytical techniques to enhance audit techniques, building relationships and are able to evolve and thrive in teamwork and in a fast-paced global environment.

 YOUR IMPACT

As the third line of defense, Internal Audit’s mission is to independently assess the firm’s internal control structure, including the firm’s governance processes and controls, and risk management and capital and anti-financial crime frameworks, raise awareness of control risk and monitor the implementation of management’s control measures. In doing so, internal Audit:

  • Communicates and reports on the effectiveness of the firm’s governance, risk management and controls that mitigate current and evolving risk
  • Raise awareness of control risk
  • Assesses the firm’s control culture and conduct risks
  • Monitors management’s implementation of control measures

 Goldman Sachs Internal Audit comprises individuals from diverse backgrounds including chartered accountants, developers, risk management professionals, cybersecurity professionals, and data scientists. We are organized into global teams comprising business and technology auditors to cover all the firm’s businesses and functions, including securities, investment banking, consumer and investment management, risk management, finance, cyber-security and technology risk, and engineering.

 RESPONSIBILITIES

  • Develop and maintain an in-depth understanding of business areas, its products, and supporting functions 
  • Identify risks, assess mitigating controls, and make recommendations on improving the control environment 
  • Follow-up on open audit issues and their resolution

SKILLS AND RELEVANT EXPERIENCE

  • 12+ years Internal audit, compliance or quality assurance testing experience
  • Strong knowledge and expertise in auditing compliance functions, regulatory, legal, financial crime risks, anti-money laundering, transaction surveillance, and corporate legal functions
  • Understanding of compliance program components, risk and control processes
  • Able to work under minimal supervision on individual tasks or on team projects. Team-oriented with a strong sense of ownership and accountability
  • Highly motivated with strong analytical skills, willing and able to learn new business and system processes quickly
  • Highly motivated with the ability to multi-task and remain organized in a fast-paced environment
  • Ability to multi-task and remain organized in a fast-paced environment, and to regularly present to senior leadership
  • Good communicator who can manage multiple stakeholders, keen to drive consensus and influence the outcomes
  • Approximately 10 - 15 years of experience in a public accounting, consulting, internal audit and/or regulatory agency examiner role within the financial services industry or a related control function
  • University degree in a finance, accounting, or quantitative discipline, and ideally a graduate degree in a related subject
  • Relevant certification or industry accreditation (e.g., CA, CPA, CAMS, CIA) is a plus

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