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Audit Team Lead - Wealth and Compliance

BOK Financial
United States, Oklahoma, Tulsa
101 East 2nd Street (Show on map)
Mar 24, 2026

Req ID:77801

Location:Tulsa -TUL

Areas of Interest:Internal Audit; Audit; Investment Management; Mortgage Banking; Mortgage Operations; Mortgage Servicing; Mortgage, Home Direct; Mortgage, Loan Origination; Private Banking; Private Wealth Advisor; Risk Management; Risk Management, BSA/AML; Risk Management, Compliance; Trust; Wealth Management; Wealth Management Operations

Pay Transparency Salary Range:Not Available

Application Deadline:04/18/2026

BOK Financial Corporation Group includes BOKF, NA; BOK Financial Securities, Inc. and BOK Financial Private Wealth, Inc. BOKF, NA operates TransFund and Cavanal Hill Investment Management, Inc. BOKF, NA operates banking divisions: Bank of Albuquerque; Bank of Oklahoma; Bank of Texas and BOK Financial.

Bonus Type
BOKF Performance Plan (D02)
Summary

Internal Audit's mission is to enhance and protect organizational value by delivering risk-based, objective assurance, advice, and insight.

We assure management and the Board of Directors by evaluating evidence and forming conclusions about operations, processes, systems, and controls. Our audits provide confidence in governance, risk management, and internal control frameworks.

We advise business partners by offering thoughtful recommendations on new products, services, technologies, and processes. Advisory engagements are performed at the request of the business and are designed to proactively support sound decision-making.

We add value by identifying opportunities to strengthen controls, reduce risk, and improve operational efficiency across the organization.

Job Description

The Compliance and Wealth Management Audit team conducts independent audit work across Mortgage, Wealth Management, Consumer Compliance, and Bank Secrecy Act activities.

TheAudit Team Lead - Wealth and Compliance is a senior individual contributor responsible for leading complex, highrisk audit engagements and providing subjectmatter expertise across the Bank's wealth management and compliance functions. This role offers significant autonomy and visibility and is designed for an experienced auditor who leads engagements endtoend and influences outcomes through expertise and judgment, without direct people management responsibilities.

Audit coverage includes wealth management businesses such asPrivate Wealth, Trust and Fiduciary Services, and Investment and Advisory activities, as well as compliance with consumer, fiduciary, securities, and banking regulatory requirements. Engagements involve evaluating policies, reports, financial statements, and operating procedures to assess the design and effectiveness of controls and identify regulatory, operational, and reputational risk.

The role requires strong analytical judgment to assess operational effectiveness across processes of varying complexity, surface emerging risks, and deliver practical, valueadded recommendations that strengthen governance and compliance.

Audit work is executed in accordance with professional standards and regulatory guidance issued byCOSO, PCAOB, and applicable banking regulators, including the Office of the Comptroller of the Currency (OCC) and the Federal Reserve Bank (FRB).

Team Culture

"Assure, advise, and add value" is more than our motto-it's how we work.

Internal Audit is a collaborative department of approximately 45 team members across specialized teams. We value inclusiveness, partnership, and open communication. Flexibility and work-life balance are core to how we operate and contribute to a positive, sustainable work environment.

Our team leads with integrity and heart, gives back to the community, and takes ownership of the work we do. Honesty, accountability, and doing the right thing are essential to success here.

How You'll Spend Your Time
  • Lead risk-based audits across wealth management and compliance areas, independently assessing business processes, controls, and regulatory compliance.
  • Manage multiple concurrent audit engagements, applying sound judgment and discretion to tailor audit approaches and achieve objectives efficiently.
  • Develop engagement objectives, risk assessments, test plans, budgets, and staffing plans, and deliver clear, valueadded recommendations that reduce risk and improve performance.
  • Influence and review the work of other auditors to ensure quality, consistency, and adherence to professional standards.
  • Partner with business leaders to present audit plans and results, support postaudit follow-up, and stay current on regulatory and industry trends.
Education & Experience Requirements

The required level of knowledge is normally acquired through a Bachelor's degree in Finance, Accounting or related discipline in addition to 3 to 6 years related experience.

  • In-depth knowledge of Generally Accepted Accounting Principles, Generally Accepted Auditing Standards, Public Accounting Oversight Board Standards, and Sarbanes-Oxley
  • In-depth knowledge of Compliance regulations (Consumer Compliance Audit) or Fiduciary and Securities regulations: 12 CFR 9, 12 CFR 12, Trust Indenture Act, ERISA, Transfer Agent Rules, Investment Advisers Act of 1940, Securities Exchange Act of 1934, FINRA and Municipal Securities Rulemaking Board (Wealth Compliance Audit)
  • In-depth knowledge and understanding of banking rules, regulations, and operations
  • Ability to define a wide variety of abstract and concrete problems, establish facts and draw valid conclusions
  • Strong ability to effectively communicate both verbal and written information and respond to questions in-person as well as small group situations
  • Strong ability to effectively plan time, method, manner and sequence of own work assignments as well as those of a team of employees assigned to moderately complex audits
  • Advanced Word, Excel and PowerPoint skills
Working Conditions & Physical Requirements
Office - 20 lbs

BOK Financial Corporation Groupis a stable and financially strong organization that provides excellent training and development to support building the long term careers of employees.With passion, skill and partnership you can make an impact on the success of the bank, customers and your own career!
Apply todayand take the first step towards your next career opportunity!


The companies in BOK Financial Corporation Group are equal opportunity employers. We are committed to providing equal employment opportunities for training, compensation, transfer, promotion and other aspects of employment for all qualified applicants and employees without regard to sex, race, color, religion, national origin, age, disability, pregnancy status, sexual orientation, genetic information or veteran status.

Please contactrecruiting_coordinators@bokf.comwith any questions.

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