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Niche surveillance role but metro location and mid-level experience increase candidate competition.
Role requires financial-services regulatory, audit, and Synchrony platform knowledge, limiting cross-industry transferability.
Multiple explicit years requirements and mandatory audit/regulatory experience make screening rigorous.
Lead and manage key process surveillance activities ensuring alignment with Enterprise Surveillance Standards in the Growth domain.
Design, execute, and oversee control testing, including Test of Design documentation and Control CTC testing to identify and mitigate key risks.
Provide leadership and oversight for testing quality, stakeholder communication, and drive timely resolution of issues and emerging risks within Growth Surveillance.
Bachelor's degree with minimum 4+ years in Financial Services in reporting, governance, risk management, audit, compliance, or Growth, OR 6+ years without degree.
Minimum 2+ years of experience in Audit, Testing, or Surveillance.
Minimum 3+ years experience in consumer banking laws and regulations.
Must be available to work between 06:00 AM to 11:30 AM US Eastern Time (approx. 3:30 PM – 9:00 PM IST) as per scheduling requirements.
Experienced in governance and risk control testing within Financial Services, preferably with consumer banking regulatory knowledge.
Proven capability to lead complex surveillance/testing initiatives while ensuring quality and stakeholder management.
Familiarity with process maps, risk and control documentation, and Synchrony Platforms and Systems is highly advantageous.