





Senior, specialized IS risk role with strict experience and US-banking requirements reduces applicant density.
Requires US banking security, regulatory and assurance experience, limiting cross-industry transferability.
Explicit 10–12+ years requirement, regulatory expertise and certifications make selection criteria stringent.
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Lead and execute end-to-end control assurance and 1LOD assessments within Information Security Risk Management.
Manage client assessment programs and third-party contract reviews to ensure compliance and alignment with regulatory requirements.
Support cyber insurance risk quantification and renewal processes; develop security assurance standards and procedures.
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 progressive experience in information security, technology risk, security controls assurance, or audit.
Strong knowledge of IS Risk Management Concepts and IT US banking regulations (NIST, PCI DSS, HIPAA, CRI).
Work timings: 5AM to 2PM EST; Level: L12.
Experienced in designing and executing control testing/assurance programs across multiple security domains in US financial institutions.
Proven ability to work cross-functionally with Information Security, Technology, Risk, Compliance, and Audit teams to influence and deliver results.
Skilled in translating complex regulatory and security findings into actionable insights for executive stakeholders.