Cynthia Shelton Mc Cants
About Cynthia Shelton Mc Cants
Cynthia Shelton Mc Cants serves as the Associate Director at UBS Wealth Management, where she has worked since 2008. With extensive experience in auditing and compliance across various financial institutions, she has held several key positions throughout her career.
Work at UBS
Cynthia Shelton Mc Cants has been serving as Associate Director at UBS Wealth Management since 2008. In this role, she is responsible for conducting audits across multiple regions, including the United States, Canada, and Latin America. Her position requires her to identify emerging risks and stay informed about key business developments, regulatory implications, and compliance requirements. Over her 16 years at UBS, she has contributed to enhancing compliance and regulatory guidance through continuous auditing processes.
Previous Experience in Auditing
Prior to her tenure at UBS, Cynthia Mc Cants held several significant positions in the auditing field. She worked as an Audit Manager at WestLB from 2004 to 2006, where she managed audit processes. Before that, she served as a Financial Auditor at Bayerische Landesbank from 1998 to 2004. Additionally, she was an Assistant Treasurer Audit Officer at Bankers Trust in New York and London from 1992 to 1995, and a Compliance Audit Manager at Lehman Brothers from 2006 to 2008.
Education and Expertise
Cynthia Mc Cants earned her degree from Florida Agricultural and Mechanical University, where she studied from 1988 to 1992. Her educational background laid the foundation for her expertise in auditing and compliance. Throughout her career, she has developed a strong understanding of regulatory frameworks and compliance requirements, which she applies in her current role and previous positions.
Audit and Compliance Skills
Cynthia Mc Cants possesses extensive skills in audit management and compliance. She identifies changing or emerging risks within her areas of responsibility and ensures that her auditing practices align with current regulatory standards. Her ability to provide enhanced compliance and regulatory guidance is a key aspect of her work, particularly in continuous and anticipatory auditing processes.