Job Description
Security Bank & Trust is seeking a detail-oriented and experienced Internal Auditor to join our team. This position will be responsible for evaluating and improving the effectiveness of internal controls, risk management processes, and governance practices within the organization. Helps to develop annual audit schedule, based on risk assessment, ensuring that those areas with greatest potential risk receive appropriate audit attention. Develops and executes audit plans, including audit scope and testing procedures. Prepares audit work papers and reports, ensuring adequate documentation to support conclusions and provides effective and reasonable recommendations. Furnishes periodic reports to Audit Committee and senior management. Completes various risk assessments as assigned. This position maintains awareness of regulatory changes and knowledge of state and federal regulations. The above is intended to describe the general content of and requirements for this position. It is not to be construed as an exhaustive list of duties, responsibilities, or requirements.
Education & Experience
Bachelor's Degree or equivalent combination of education and experience.
- Minimum 3 years of related experience; thorough banking and compliance knowledge.
- Strong knowledge of internal control frameworks, risk assessment methodologies, and regulatory requirements (i.e. FDIC).
- Possess strong written/verbal communication skills as well as excellent organizational/time management skills.
- Detail-oriented with strong analytical and problem-solving skills.
- Excellent skills in computer operation; including Microsoft Office product suite.
- Ability to work with minimal supervision while performing duties.
Apply on our bank website: www.security-banks.com or email resume to: HR@security-banks.com
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