





Specialized senior security risk role with niche regulatory requirements and limited candidate pool.
Strong domain and regulatory experience required makes cross-industry transferability low.
Explicit 10+/12+ years requirement plus domain certifications and regulatory experience increases filter strictness.
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Lead and execute all control assurance and first line of defence (1LOD) assessments within Information Security Risk Management.
Manage client assessments program ensuring Synchrony meets client expectations on security assessments and audits.
Coordinate third-party contract reviews, cyber insurance risk quantification, and collaborate with multiple internal stakeholders for compliance and risk mitigation.
Bachelor’s degree in Computer Engineering or related field with 10+ years in Information Security OR 12+ years in Information Security without degree.
8+ years experience in information security, technology risk, security controls assurance, or audit.
Strong knowledge of US banking regulations and security frameworks like NIST, PCI DSS, HIPAA, CRI.
Must be able to work 5AM to 2PM EST; Level 10+ employees with minimum organizational and role tenure are eligible (internal criteria).
Experienced leader in Information Security Risk Management within US-based financial institutions or comparable regulated environments.
Proven track record in designing/executing multi-domain control assurance programs and working with external and internal risk stakeholders.
Strong influencer with executive communication skills able to translate complex technical and regulatory requirements into actionable assurance activities.