Senior Audit Manager


Senior Audit Manager

Job Title: Senior Audit Manager
Contract Type: Permanent
Location: Unknown
Salary: £110,000 - £120,000
Contact Name: Emir Allen
Contact Email:
Job Published: March 28, 2017 15:01

Job Description


You will be joining the market and liquidity risk team, which is part of the risk department within Group Audit (GA), covering all types of risk. The team is responsible for the technical subject matter expert audit coverage, of the market risk, liquidity risk processes and metrics. It also provides expert knowledge for line of business front to back product audits. The team performs audits on Market Risk Management using significant market risk metrics such as value at risk, stressed value at risk, incremental risk charge and comprehensive risk measures in close cooperation with the model risk team.

Key responsibilities: 

  • Executing a global risk-based audit plan covering Market Risk, using GA’s Methodology and Process System audit methodology.
  • Identifying and assessing  risks
  • Providing subject matter expertise to support the Principal Audit Manager in identifying and assessing market risks throughout Deutsche Bank
  • Providing quarterly analysis to GA management and the product aligned audit teams, to inform them of the evolution of key market risk developments
  • Conducting periodic reviews of adequate reflection of these risks, in the business aligned risk assessment profiles
  • Monitoring business with key Market Risk Management stakeholders, as well as keeping abreast of pertinent industry, regulatory and business practices
  • Recommending plan adjustments to the Market Risk PAM, based on the identification of emerging risks, through ongoing risk monitoring
  • Delivering risk led reviews in areas of expertise and providing oversight of adequate coverage of key risks under responsibility, in business aligned reviews
  • Providing support for the subject matter expert team members as per the coverage model and the audit plan
  • Acting as GA’s relationship manager and primary point of contact for areas of responsibility as agreed with Market Risk PAM
  • Maintaining excellent and responsive working relationships with management, regulators and external auditors 

Skills & Qualifications:

  • Experience in auditing, which is focused on market risk
  • Investment banking experience, either in a financial institution or a professional practice environment
  • A solid understanding of financial services products
  • An understanding of market risk and the broader risk management frameworks
  • A thorough understanding of market risk issues, in a global banking control environment
  • A solid understanding of risk management techniques and regulatory requirements
  • Excellent partnering and stakeholder management skills
  • Excellent analytical and communication skills (both oral and written)
  • A degree-level education or to the equivalent
  • A relevant risk professional qualification (professional risk manager, financial risk manager, certificate of quantitative finance)
  • Unquestionable personal integrity and ethics
  • Able to successfully navigate a complex and multi-national organisation
  • Able to build strong relationships and work collaboratively with management teams and with other control functions
  • Able to convey complex concepts and ideas on issues requiring interpretation and opinion
  • Independent in judgment
  • Strongly self-motivated
  • Able to challenge and be challenged, whilst maintaining the highest levels of professionalism 


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