Manage global FX exposure forecasting process including coordinating with regional treasury centers and business stakeholders.
June 06, 2020
Demonstrated experience with audit industry documentation standards (preparation of workpapers, flowcharting, narratives, walkthroughs, and control testing).
June 07, 2020
Leading multiple teams, often across two or more clients, industry types, and engagement sizes, to consistently deliver high quality work products within expected timeframes and budget.
June 20, 2020
Support teams across the business areas with change control, process mapping and overall operational effectiveness.
June 22, 2020
Developing technical capabilities in a wide range of subjects including credit risk measurement and management, strategic governance, portfolio management, risk appetite, credit risk policy, and rating methodologies.
August 12, 2020
Assist in structuring purchase price adjustment mechanisms and other relevant projections in stock purchase agreements.
August 15, 2020
Act as the main point of contact on all FX and commodity derivative related questions and activities originating in Corporate Accounting and Internal or External Audit.
September 01, 2020