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Director of Internal Audit

salary Salary :

$180,000 - 210,000 yearly

Job Description - Director of Internal Audit

NewtekOne®, Your Business Solutions Company®, is a financial holding company, which along with its bank and non-bank consolidated subsidiaries, provides a wide range of business and financial solutions under the Newtek® brand to the small- and medium-sized business ("SMB") market. Since 1999, Newtek has provided state-of-the-art, cost-efficient products and services and efficient business strategies to SMB relationships across all 50 states to help them grow their sales, control their expenses, and reduce their risk.


Newtek's and its subsidiaries' business and financial solutions include: banking (Newtek Bank, N.A.), Business Lending, Electronic Payment Processing, Technology Solutions (Cloud Computing, Data Backup, Storage and Retrieval, IT Consulting), eCommerce, Accounts Receivable Financing & Inventory Financing, Insurance Solutions, Web Services, and Payroll and Benefits Solutions.


NewtekOne® is looking to add a Director of Intern Audit to the team!


The Director of Internal Audit is responsible for leading and managing the internal audit function for a diversified financial holding company regulated by the Federal Reserve, with subsidiaries including an OCC-regulated digital bank, payment processing company, payroll processing company, and insurance business.

This role provides independent, objective assurance and advisory services designed to enhance governance, risk management, and internal control processes across the enterprise, including ownership of the SOX program testing. The Director of Internal Audit reports functionally to the Audit Committee of the Board of Directors and administratively to the Chief Executive Officer, ensuring full organizational independence.


Essential Functions & Responsibilities:


Strategic Leadership & Governance



  • Develop and execute a risk-based internal audit strategy and annual audit plan covering all legal entities and business lines.

  • Establish and maintain audit standards, policies, and procedures in accordance with IIA standards and regulatory requirements.

  • Serve as a trusted advisor to the Audit Committee and senior management on risk, internal controls, and governance effectiveness.

  • Maintain independence and objectivity in accordance with Institute of Internal Auditors (IIA) standards and regulatory expectations.

  • Provide regular reporting to the Audit Committee on audit results, control environment, emerging risks, and remediation progress.


Enterprise Risk Assessment and Audit Execution



  • Lead the enterprise-wide internal audit risk assessment process, incorporating regulatory, operational, financial, technological, and compliance risks.

  • Continuously monitor evolving risks, including third-party/vendor, cybersecurity, and regulatory developments affecting OCC-regulated banking and Federal Reserve-supervised entities.

  • Align audit coverage with risk appetite and regulatory expectations including all aspects of the FFIEC guidance.

  • Oversee execution and timely completion of operational, financial, compliance, and IT audits across all business units while leveraging the audit tool, Optro and identifying additional efficiencies through use of the tool.

  • Maintain a high-quality audit methodology, including workpapers, documentation standards, and QA reviews.

  • Drive use of data analytics and automation to enhance audit effectiveness and efficiency.


SOX & Internal Controls



  • Lead the SOX (Sarbanes-Oxley) compliance program including: scoping, risk assessment, key control identification, and control design evaluation and operating effectiveness testing

  • Oversee walkthroughs, testing, deficiency evaluation, and remediation tracking

  • Partner with external auditors to ensure efficient audit coordination and reliance on internal work for both business process and IT controls

  • Provide reporting on SOX compliance status, deficiencies, and remediation progress to SOX Steering Committee and Audit Committee.


Issue Management & Remediation



  • Establish and manage an enterprise issue tracking program.

  • Monitor and validate timely remediation of SOX and audit findings, regulatory matters, and management-identified issues.

  • Escalate significant control deficiencies and overdue issues to executive leadership and the Audit Committee.


Consultant & Co-Sourcing Oversight



  • Manage external consultants and co-source internal audit partners, ensuring: proper scope definition and deliverables, timely completion of the audit, cost efficiency and effectiveness, and knowledge transfer to internal staff


Regulatory Engagement



  • Serve as a key liaison with regulators (Federal Reserve, OCC) on internal audit matters.

  • Support regulatory examinations and ensure alignment of audit activities with regulatory expectations and guidance.

  • Monitor and interpret changes in regulatory requirements impacting audit scope.


Stakeholder Engagement



  • Build strong relationships with executive management, business leaders, and control functions.

  • Communicate audit findings clearly and effectively to stakeholders at all levels.

  • Influence management to strengthen control environments and address root causes of issues.


Knowledge, Skills & Abilities:


Strong understanding of:

Banking regulations (OCC, SBA, and Federal Reserve)
SOX and internal control frameworks (COSO)
Risk management practices in complex financial institutions
Internal Audit Standards (IIA)
Proven ability to interact effectively with Board-level stakeholders and regulators including excellent communication and presentation skills
High degree of professional skepticism, independence, and judgment
Strong leadership, communication, and influencing skills
Strategic thinking with ability to translate risk into actionable audit plans.
Strong leadership and team development skills
Advanced analytical and problem-solving abilities with a focus on root cause identification.
Ability to manage multiple priorities across diverse business lines.
Strong project management and organizational skills.
Previous experience with Optro (formerly AuditBoard) or similar audit tool is a plus


Education & Certification Requirements:


Bachelor's degree in Accounting, Finance, Business, or related field (Master's preferred).
Professional certifications such as CPA, CIA, or CISA strongly preferred.
10+ years of progressive internal audit, risk, or public accounting experience, preferably within financial services with leadership experience.

Experience working within or auditing:
- OCC-regulated banking institutions
- Federal Reserve-supervised holding companies
- Fintech, payments, or lending platforms (highly desirable)


Salary Range: $180,000 to $210,000 per year


NewtekOne is an Equal Opportunity Employer; M/F/D/V. We require all of our employees to perform work in an ethical manner and uphold our Code of Business Conduct and Ethics at all times.

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