





Tier-1 bank and Mumbai metro increase competition, but niche liquidity audit focus lowers applicant pool.
Highly finance-specific liquidity and treasury audit expertise limits transferability across industries.
Explicit minimum experience and specialized liquidity/audit skills imply moderately strict shortlisting filters.
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Execute assurance activities including audits, continuous monitoring, and closure verification for Liquidity and Funding portfolio in Mumbai covering Treasury and LRD.
Develop risk and business impact assessments based on audit findings and incorporate data analysis into audit processes.
Collaborate with internal stakeholders to deliver multiple high-quality audit outputs under Business Audit covering front, middle, and back offices.
At least 2 years of relevant audit experience.
Understanding of audit principles, tools, and processes such as risk assessments, planning, testing, reporting, and continuous monitoring.
Willingness to work in hybrid setup with 4 days in office, Monday to Friday, 12:00PM to 9:00PM IST, including periodic evening calls with US and EMEA clients.
Work Experience Required: At least 2 years relevant experience explicitly mentioned.
Familiar with audit methodologies and internal control environments in financial services, particularly liquidity and funding.
Able to analyze data for patterns and anomalies relevant to risk and compliance.
Comfortable working in a cross-regional team and managing multiple deliverables in a fast-paced environment with stakeholder interaction.