EXANTE is a pioneering wealth tech company that delivers cutting-edge centralized trading solutions and robust B2B financial infrastructure, driving value through innovative technology. Our proprietary trading platform provides seamless access to a diverse range of financial instruments, including stocks, ETFs, bonds, futures, and options, all within a single, multi-currency account.
As a rapidly expanding global firm with over 700 talented employees from 70+ nationalities across 70 locations, we are a frontrunner in the financial sector. Our investment priorities are clear: We prioritize investing in our most valuable asset—our people. Join us in shaping the future of finance.
About the Role
We are seeking an experienced Senior Internal Auditor to lead our Group Internal Audit function. You will be responsible for establishing and executing the internal audit strategy across our regulated entities in the European Union, United Kingdom, Hong Kong, and Dubai. Working alongside one Internal Auditor, you will provide independent assurance to the Board and Audit Committee on the effectiveness of governance, risk management, and internal controls across the group.
This is a digital-first, risk-based internal audit function aligned with our fintech operating model. We operate in an environment of automated processes, API-driven integrations, cloud infrastructure, and rapid product iteration. We expect Internal Audit to be pragmatic and technology-enabled, leveraging data and system access rather than relying on traditional, document-heavy approaches.
This is a high-visibility role offering direct engagement with senior leadership and regulators, and the opportunity to shape the internal audit function within a growing international group.
Reports to: Group Chief Financial Officer (administrative reporting) / Audit Committee (functional reporting)
Direct Reports: Internal Auditor (1)
Key Responsibilities
Leadership and Strategy
Lead the Group Internal Audit function, setting the strategic direction and annual audit plan
Supervise, mentor, and develop the Internal Auditor, including review of their work
Serve as the primary point of contact for the Audit Committee on all internal audit matters
Build and maintain the internal audit methodology, charter, and quality assurance framework
Represent Internal Audit in interactions with external auditors and regulatory bodies
Champion a strong risk and control culture across the organisation
Audit Planning and Execution
Utilise enterprise-wide risk assessments (produced by the Risk function) to inform risk-based audit planning
Lead and execute complex audits of financial, operational, compliance, and IT controls, including technology-enabled processes such as: platform controls and application security; change management and release processes; access management and identity controls; data integrity and reconciliation processes; third-party SaaS and cloud environment controls
Allocate audit resources effectively across jurisdictions and business units
Ensure audits are completed on time, within budget, and to a high standard
Apply continuous auditing techniques, leveraging direct system data extraction (rather than manual samples) and automated control testing where feasible to enhance audit efficiency and coverage
Regulatory and Compliance Assurance
Provide assurance over compliance with multi-jurisdictional regulatory requirements, including:
EU: MiFID II, AIFMD, UCITS, GDPR, DORA, AML Directives (as applicable)
UK: FCA rules, including SMCR, Consumer Duty, and relevant prudential requirements
Hong Kong: SFC Code of Conduct, AML/CFT requirements
Dubai (DIFC): DFSA Rulebook, including conduct of business and AML rules
Approach operational resilience and DORA requirements as opportunities for integrated, pragmatic assurance—mapping critical services, key dependencies, and controls—rather than standalone regulatory exercises
Monitor regulatory developments and assess their implications for the audit plan
Liaise with local compliance officers to coordinate assurance activities and avoid duplication
Reporting and Governance
Prepare and present audit reports, annual opinions, and thematic reviews to the Audit Committee
Provide independent assessment of the groups overall control environment and risk profile
Track and report on the status of management action plans and overdue findings
Escalate significant control weaknesses or emerging risks to senior management and the Board
Prepare materials for regulatory examinations and respond to regulatory inquiries as needed
Advisory and Continuous Improvement
Provide pragmatic advice to management on control design, process improvements, and emerging risks
Participate in or observe key governance forums and project steering committees
Lead or support special investigations, fraud reviews, or ad-hoc assurance engagements
Continuously enhance the internal audit function through adoption of best practices and technology
Required Qualifications
Education and Certification
Bachelors degree in Accounting, Finance, Business Administration, or related field; Masters degree preferred
Professional certification required: CIA, ACA, ACCA, CPA, or equivalent
Minimum 8–10 years of progressive experience in internal audit, external audit, or risk/compliance roles
At least 3 years in a senior or supervisory audit capacity
Extensive experience auditing regulated financial services firms across multiple jurisdictions
Proven track record of engaging with Audit Committees, Boards, and senior executives
Direct experience with regulators (e.g., FCA, SFC, DFSA, EU NCAs) strongly preferred
Familiarity with co-sourced or outsourced internal audit arrangements
Skills and Competencies
Deep knowledge of internal control frameworks (COSO), risk management standards, and IIA Standards
Systems thinking and digital fluency, with the ability to understand end-to-end automated processes and technology architectures
Strong leadership skills with the ability to manage, coach, and develop team members
Exceptional written and verbal communication skills, including executive-level reporting
Strategic thinker with the ability to see the big picture while maintaining attention to detail
Excellent stakeholder management and influencing skills
Sound judgement, professional scepticism, and uncompromising integrity
Ability to operate independently with minimal supervision in a lean team environment
Design audit coverage proportionate to risk and scale, making thoughtful trade-offs rather than maximising audit volume
Desirable Attributes
Experience in investment services, asset management, fintech
Knowledge of operational resilience, business continuity, and third-party risk management
Prior experience building or significantly developing an internal audit function
What We Offer
Competitive salary commensurate with experience
Performance-based bonus
International travel and exposure to diverse regulatory environments
Direct engagement with the Audit Committee and Group leadership
Opportunity to shape and lead the internal audit function
Professional development budget and support for continuing education
Flexible/hybrid working arrangements
Travel Requirements
This role is remote-first, with travel driven by risk priorities and audit needs rather than default on-site presence. We leverage remote auditing techniques where effective, supplemented by in-person engagement for higher-risk areas, relationship building, and regulatory interactions. Expected travel is approximately 30–50% of time to group entities across Europe, the UK, Hong Kong, and Dubai. Flexibility to adjust travel schedules based on audit priorities and regulatory demands is essential.
A group of disruptive technology experts created EXANTE. With an impressive track record in the industry and knowledge of the markets, our systems are built to democratize access to global financial instruments for professional traders and institutional investors.
Through our robust, cutting-edge trading platforms, you can offer clients access to comprehensive, global financial instruments and investment possibilities while keeping their data safe and private.
EXANTE is a global prime broker backed by proprietary technology and dedicated service. All regulated group companies and fully controlled affiliates and subsidiaries are committed to compliance with data protection laws, including the GDPR. We process personal data in line with the GDPR principles of fairness, purpose limitation, transparency, data minimisation, storage limitation and deletion, accuracy, confidentiality and integrity, and accountability. We rely on legitimate interests to assess and manage your application, after determining that our interests are not overridden by your rights and interests. You have the rights of access, rectification, data portability, erasure, restriction of processing, and objection to processing. To exercise your rights or contact our Data Protection Officer, please see our GDPR policy at https://exante.eu/gdpr/.
We retain recruitment data only for as long as necessary for the purposes described above, after which it will be securely deleted unless we are required to keep it longer to comply with law or you consent to a longer retention.
Where personal data is transferred outside the EEA, it will be protected to a standard at least equivalent to that sought by the GDPR. Personal data is safeguarded by technical and organisational measures that are reviewed and updated regularly. This website is not intended for individuals under 18 and we do not knowingly collect data relating to children .
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