Senior Control Testing Consultant, Non-Financial Risk
EYAbout the role
Financial Services Risk Management, Non-Financial Risk Controls – Senior: This position could be located in NY, IL, NC, and TX.
EY is a leader in serving the global financial services marketplace and the only professional services firm with a separate business unit dedicated to the financial services industry – the Financial Services Organization (FSO). Our focused model and bold ambition have put us at the center of the events that continue to reshape and redefine our industry, working side by side with a range of clients from our most venerable institutions to dynamic new entrants across Banking and Capital Markets, Wealth and Asset Management, Insurance, and Real Estate, Hospitality and Construction. Our purpose is to help build a financial services industry in which financial institutions are trusted and flourish, and the global economy is healthy, growing and secure. If you have a passion for rallying together to solve complex challenges, then come join our dynamic FSO team!
The opportunity
Focus on helping domestic and global institutions with issues of risk governance (i.e., including Board and management oversight, risk culture, risk appetite and limit setting across the three lines of defense) as well as control design, effectiveness and optimization across first and second order risks, in support of our client’s business strategies. Managers can expect to work in a leading-edge environment surrounded by some of the most engaging and knowledgeable colleagues in the business who have deep risk management, regulatory, governance and monitoring experience.
Your key responsibilities
Building relationships is the key. You will be a high-profile contact when it comes to motivating client engagement teams with diverse skills and backgrounds by fostering an innovative and inclusive team-orientated work environment. As you build knowledge and experience, you’ll become a credible advisor to junior consultants within the organization as well as the clients.
Skills and attributes for success
- Contributing to large-scale client engagements while consistently delivering quality client services within expected time frames and within budget
- Leading and motivating teams with diverse skills and backgrounds to foster innovation and an inclusive, team-oriented work environment
- Contributing to the generation of new business opportunities to develop long-term client relationships, understand the changing business and regulatory environment and actively assessing/presenting ways to serve clients
- Ability to develop client proposals, project approach, work plans, resource estimates and cost estimates on client opportunities and pursuits
To qualify for the role you must have
- Bachelor's degree and at least 2 years of related experience; or a graduate degree and at least 1 year of related experience
- Degree in business, finance, accounting, computer science, engineering, or a related field
- Direct experience with banking and capital markets, asset management or insurance industries, with a specific focus on enterprise risk management, topics of risk governance and an understanding of the risk management life cycle
- Direct experience with and working knowledge of Front Office sales and trading control environment, including controls design, trade surveillance and sales practices/market abuse/conduct risk monitoring.
- Knowledge of a range of financial products (derivatives, equities, fixed income, etc.)
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