





Senior, niche IS risk role with specialized regulatory requirements reduces applicant competition.
Requires US banking regulatory experience and financial-services assurance expertise, limiting cross-industry transferability.
Explicit 10+/12+ years requirement, domain-specific regulatory and assurance skills, and eligibility constraints.
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Lead and execute end-to-end control assurance and first line of defence (1LOD) assessments within Information Security Risk Management.
Manage client assessments, third-party contract reviews, and cyber insurance risk quantification in collaboration with cross-functional stakeholders.
Translate regulatory and compliance requirements into actionable assurance plans and drive improvements in control effectiveness.
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 IS Risk Management, regulatory frameworks (NIST, PCI DSS, HIPAA, CRI), and US Banking IT regulations.
Work Experience Required: 10+ years in Information Security or 12+ years without degree; Work Timings: 5AM to 2PM EST.
Experienced in designing and executing multi-domain security control testing and assurance programs in US based financial services environment.
Ability to influence and collaborate across Information Security, Technology, Risk, Compliance, and Audit teams.
Executive communication skills to synthesize complex security risks into actionable insights for leadership.