Scott Kenney is Senior Vice President Risk Management and Chief Audit Executive of Moody’s Corporation. Mr. Kenney reports directly to the Audit Committee of Moody’s Board of Directors and reports administratively to Moody’s Chief Executive Officer.
Mr. Kenney is responsible for overseeing Moody’s Global Internal Audit function, including providing an independent oversight function that evaluates the processes and controls over the organization’s financial, technology, ratings and operational activities. Mr. Kenney also oversees risk assurance for the Corporation.
Mr. Kenney has over twenty-five years of experience in internal audit, risk management, business process and internal controls. Prior to joining Moody’s, Mr. Kenney was a Managing Director at Deloitte, serving as leader to several internal audit departments, external financial statement audits, Sarbanes-Oxley compliance efforts and large regulatory compliance engagements. He served in a variety of positions while at Deloitte, served as Global Director of Compliance for Take Two Interactive and Internal Auditor at Staff Builders Home Health Care.
Mr. Kenney currently serves on the Board of Governors for the New York Institute of Internal Auditors and Hetrick Martin Institute. He also is a member of the advisory committees for Finance and Audit at OnePulse Foundation.
Mr. Kenney holds a BS in Accounting from the University of Scranton and is a Certified Public Accountant licensed in New York. Mr. Kenney is also a Certified Information Systems Auditor (ISACA), Certified Informational Technology Professional (AICPA), Certified in Risk and Information Systems Controls and a Chartered Global Management Accountant.