Pay Rate: $80
Location: Toronto ON
Job Type: Contract
Contract: Approximately 2 months, through October 31, 2026
Extension: Potential
FTE Conversion: Potential based on performance and business needs
Hybrid: 2 days per week onsite - Wednesdays, Thursdays, and the 1st Friday of the month
Key Responsibilities
- Support a regulatory governance initiative focused on linking regulatory requirements to appropriate controls and evaluating control effectiveness.
- Act as a Control Advisor supporting Risk Management Lines of Business in identifying, documenting, assessing, and enhancing controls related to regulatory compliance risks.
- Coordinate closely with external audit partners and internal Risk Management business partners throughout the control testing process.
- Collect, organize, and review control documentation and respond to Requests for Information (RFIs).
- Participate in control walkthroughs and facilitate timely responses to auditor follow-ups and information requests.
- Perform QA reviews of external testing results, assess testing documentation, provide sign-off, and support resolution of identified issues.
- Conduct business-as-usual control testing, including walkthroughs, RFI assessment, control design evaluation, and operating effectiveness testing.
- Collaborate with business partners to identify control gaps, address issues, and implement process improvements.
- Track testing timelines, deliverables, and action items to ensure deadlines are met.
- Develop and maintain documentation related to controls, risk assessments, testing results, and audit findings.
- Analyze operational, legal, market, credit, strategic, and liquidity risks to support effective risk management.
- Monitor regulatory requirements and assess their potential impact on existing controls and risk management practices.
- Provide recommendations for control enhancements and process improvements based on testing and risk analysis.
- Support the implementation and ongoing enhancement of control frameworks, risk policies, and procedures.
Must-Have Skills
- 5-7+ years of professional experience in risk management, internal audit, regulatory compliance, or related disciplines.
- Minimum 3 years of experience in control advisory and/or control testing, preferably within Risk Management or Audit.
- Minimum 3 years of hands-on internal audit and control testing experience.
- Strong experience with risk identification, assessment, mitigation, and monitoring.
- Comprehensive understanding of regulatory compliance frameworks and requirements.
- Experience assessing control design and operating effectiveness.
- Experience conducting walkthroughs, reviewing RFIs, evaluating evidence, and documenting testing results.
- Strong understanding of internal controls, audit methodologies, and risk management practices.
- Experience working with business stakeholders, Risk Management, Audit, Compliance, and/or external auditors.
- Strong analytical, documentation, reporting, and problem-solving skills.
- Excellent communication, coordination, organization, and follow-up skills.
- Bachelor's degree in Business, Finance, Accounting, Risk Management, or a related field.
Nice to Have
- CPA, CIA, CFA, or equivalent professional certification.
- Financial services or banking industry experience.
- Experience supporting regulatory governance or control enhancement programs.
- Experience working with external audit firms or third-party testing partners.
- Experience with regulatory control frameworks and compliance-related initiatives.
- Experience supporting large-scale control testing or audit programs.
If you are interested & qualified for this opportunity, please send your updated resume in MS Word format to fouzan@ifgpr.com
For other opportunities please visit www.ifg-global.com today!

