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Company Profile Morgan Stanley is a leading global financial services firm providing a wide range of investment banking, securities, investment management and wealth management services. The Firm's employees serve clients worldwide including corporations, governments and individuals from more than 1,200 offices in 43 countries.
As a market leader, the talent and passion of our people is critical to our success. Together, we share a common set of values rooted in integrity, excellence and strong team ethic. Morgan Stanley can provide a superior foundation for building a professional career - a place for people to learn, to achieve and grow. A philosophy that balances personal lifestyles, perspectives and needs is an important part of our culture.
Department Profile Internal Audit is responsible for validating whether the firm operates in a controlled environment with appropriate risk-management processes. Auditors evaluate the adequacy and effectiveness of the firm's internal controls using a risk-based methodology developed from professional auditing standards. Internal Audit assists in monitoring the firm's compliance with internal guidelines set for risk management and risk monitoring, as well as external rules and regulations governing the industry. The team reports directly to the Board Audit Committee and helps verify whether the firm meets all of its fiduciary responsibilities to shareholders, while adhering to corporate-governance standards and legal and regulatory requirements. Internal Audit is comprised of Business, Risk and Technology auditors. Business and Risk auditors focus on understanding the risks that the businesses face and the controls to mitigate those risks. Technology auditors focus on the application controls supporting the business processes, including systems development, application security and entitlements, production management, and technology governance. Both groups are responsible for understanding, analyzing and testing the controls to protect the franchise.
Morgan Stanley is seeking an Anti-Money Laundering (AML) Audit Professional Manager to join its Compliance/AML Internal Audit Team. The successful candidate will have audit experience that will ensure that audit and regulatory requirements are being met in accordance with set standards. This position will be located in NYC.
Primary Responsibilities -Manage, analyze and evaluate the Firm's compliance with required control and regulatory requirements related to AML/BSA and Sanctions Screening activities focusing on AML Risk Assessment, Know your Client, Enhanced Due Diligence, Transactions Monitoring and Sanctions Screening controls. -Conduct risk assessments for AML/BSA and Sanctions Screening audit entity universe to help drive the risk-based audit plan. -Execute the annual risk-based audit plan to provide appropriate coverage of a wholesale and retail financial services firm within departmental methodology, policies and standards. -Execute audits from start to completion including detailed walkthroughs of key processes to identify internal controls, developing and execution of tests of control and substantive testing procedures for key controls, execution of testing, identification and reporting of issues. -Involvement in audit planning memos, developing testing plans, issue identification, issue discussions with clients, and report writing. -Provide management with an independent and objective evaluation of the control environment and evaluate management's control consciousness. -Conduct, as appropriate, quality assurance reviews to ensure compliance with department documentation standards.
Skills Required -Four-six years of audit experience, AML/BSA testing or regulatory experience within the financial services industry. -A strong understanding of the regulatory environment with respect to OCC, FINRA, SEC, and Federal Reserve regulations pertaining to AML/BSA and Sanctions Screening. -Proficient understanding of the Internal Audit process including risk assessments, planning, scheduling, reporting, and continuous auditing. -Ability to effectively multi-task across various projects and deadlines. -Strong verbal and written communication skills for audit reporting discussions with Senior Audit and Business Management. -Understanding of local, state and federal securities laws a plus. -A B.S. degree in business including Economics, Finance, Accounting, etc. -CPA, CIA or other related licensing a plus
Internal Number: 4672504
About Morgan Stanley USA
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