Audit Supervisor - Global Corporate and Investment Banking

New York, NY
Full Time
Audit and Finance
Mid Level
NASC GLOBAL is proud to collaborate with our respected client in search of a talented Audit Supervisor for their Global Corporate and Investment Banking division. This hybrid role offers a dynamic work environment where you will contribute to impactful audit activities.

Work Location: New York, NY (Hybrid: 3 days on-site, 2 days remote)

Position Overview: As an Audit Supervisor, you will take charge of complex audit activities within Global Corporate and Investment Banking (GCIB). Your responsibilities will include designing and executing audit tests, evaluating business impacts, and providing actionable recommendations. You will also cultivate strong relationships with business partners, promote an inclusive work culture, and mentor team members.


Compensation and Benefits: Our client values exceptional talent and offers a competitive salary ranging from $100,000 to $130,000, commensurate with your experience, education, certifications, and skills.


Responsibilities:
  • Develop and implement risk-based audit strategies by defining the audit scope and programs.
  • Utilize automation and innovative methodologies to ensure high-quality and timely audit execution.
  • Assess business processes, controls, and strategies, delivering recommendations based on risk evaluations.
  • Contribute to draft audit reports and communicate findings with senior leadership.
  • Foster an inclusive environment and support the professional development of team members.
  • Build in-depth business knowledge and establish strong partnerships with line management.
  • Lead or collaborate on global audits with teams across EMEA and APAC.
  • Manage multiple projects effectively using advanced technology and analytical techniques.

Qualifications:
  • Bachelor’s degree in Finance or a related field.
  • 5-7 years of experience in internal audit, business control, compliance, or risk management within corporate and investment banking.
  • At least 2 years of audit experience in an investment banking organization.
  • Proven expertise in risk and control identification, assessment, and stakeholder management.
  • Proactive and adaptable with strong organizational, analytical, and communication skills.

Desired Certifications:
  • CFA (Chartered Financial Analyst)
  • CPA (Certified Public Accountant)
  • FRM (Financial Risk Manager)
  • CIA (Certified Internal Auditor)

Keywords: Internal audit, Risk management, Compliance, Financial analysis, Corporate banking, Investment banking, Stakeholder management, Audit strategies, Business controls

 
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