First Line Compliance Lead bei FirstBank
FirstBank · Knoxville, Vereinigte Staaten Von Amerika · Onsite
- Senior
- Optionales Büro in Knoxville
- Advises the business unit on critical and complex regulatory matters to enhance regulatory compliance within all processes, procedures and practices;
- Provides updates to the First Line Compliance Manager regarding status of assigned areas of responsibility including immediate communication of any issues or challenges.
- Partners with First Line Compliance Manager, Corporate Compliance, and Business leaders on remediation and risk mitigation efforts;
- Leverages advanced knowledge of critical and complex regulatory matters and seeks opportunities to create/enhance compliant operational efficiencies;
- Advocates for the business’s needs while balancing the requirements of complex laws and regulations;
- Oversees and reports/tracks emerging risks, control effectiveness, compliance risk exposure, and mitigation efforts;
- Provides oversight, analysis and direction on First Line Compliance Quality Control (QC) Testing Calendar;
- Partners with the First Line Compliance Manager and First Line Banking Controls and Governance team to provide input on the Bank’s Risk and Control Inventory;
- Assists business line leadership with consumer complaint response, as needed, and oversees monitoring for appropriate complaint resolution timelines;
- Assists in the creation, preparation, and distribution of reporting to various parties including but not limited to management, business units, and bank compliance departments;
- Oversight of monitoring testing reports for trending items and ensure any process/systemic root causes of issues are addressed with the business units and/or reported through appropriate channels.
- Ability to identify and address interdependencies among complex regulatory compliance requirements, operational and risk needs, and business unit goals and objectives.
- Ability to convey complex regulatory requirements in a clear and concise manner
- Proven track record of building and creating processes, procedures and reporting
- Ability to build rapport and trust with teams cross-functionally and across all levels and provide a positive atmosphere to the team and others.
- Demonstrated ability and advanced experience providing successful and efficient solutions to discovered risks
- Proven experience successfully interacting with auditors, consumers, and internal staff
- Ability to thrive in a fast-paced company
- Proven experience successfully working in a confidential environment
- 7+ years of banking regulatory compliance, experience with manufactured housing a plus
- Experience leading teams and coaching/mentoring peers
- Experience leading projects, initiatives and/or a small team of direct reports
- CRCM or similar certification, or additional years of compliance experience, required
- Advanced knowledge of Federal and State regulations, particularly consumer lending regulations including but not limited to Reg. Z, Reg. X, ECOA, HMDA, and UDAAP is highly preferred.