Audit Leadership : Develop and implement a comprehensive audit strategy covering banking and insurance operations.
Regulatory Compliance : Ensure adherence to banking, insurance, and financial regulations , working closely with regulatory bodies and internal stakeholders.
Risk-Based Audits : Conduct in-depth risk assessments and audits to enhance operational controls, governance, and financial integrity.
Process & Control Optimization : Identify weaknesses in internal controls and recommend effective solutions to mitigate risks.
Stakeholder Engagement : Provide strategic insights to senior management, the board, and regulators on key audit findings and emerging risks.
Team Management : Lead, mentor, and develop a team of audit professionals, fostering a culture of excellence and accountability.
Key Qualifications & Experience :
Bachelors Degree in Finance, Accounting, or a related field (Masters preferred).
Professional certification (e.g., CPA, CIA, CISA) is required.
10+ years of audit experience in banking and insurance , with at least 5 years in a senior leadership role .
Strong knowledge of banking regulations, insurance frameworks, and risk management principles .
Expertise in data analytics, internal controls, and financial reporting audits .
Excellent leadership, communication, and problem-solving skills.