• Bachelor’s Degree in Business, Finance, Accounting, Risk Management, Information Systems, Data Analytics, or related discipline.
• Minimum 3 years of experience in Compliance, Risk Management, Internal Audit, Operational Risk, Monitoring & Testing, Data Analytics, Business Intelligence, or related functions. (required)
• Demonstrated ability to work independently and collaboratively in a regulatory environment (required)
• Practical working knowledge of financial services compliance requirements and regulatory expectations, including OCC, FRB, CFPB, state regulatory requirements, and related compliance risk management principles.
• Demonstrated experience working with risks, controls, monitoring activities, findings, issues, or governance processes.
• Experience supporting Compliance Risk Assessments, Monitoring & Testing, Compliance Governance, Internal Audit, or Operational Risk programs.
• Experience with Archer, RSA, ServiceNow GRC, or similar GRC platforms.
• Experience with Tableau, Power BI, or similar visualization and reporting tools.
• Experience with SQL, Microsoft SQL Server, and relational database concepts.
• Experience with Python, Alteryx, SAS, BigQuery, GCP, or similar analytical platforms.
• Familiarity with Gemini CLI, GitHub, Copilot, or other AI-enabled development and analytics tools.
• Experience preparing executive or committee-level reporting packages.
• Experience supporting issue management, corrective action tracking, or remediation validation activities.
• Relevant certifications in compliance auditing, or risk management (CRCM, CAMS, CRCMP, CERP), or similar industry certification. (preferred)
• Strong analytical, critical thinking, and problem-solving capabilities.
• Advanced Microsoft Excel skills.
• Experience creating reports, dashboards, visualizations, or management reporting.
• Strong written and verbal communication skills.
• Ability to work effectively across multiple stakeholder groups and levels of management.
• Strong relationship management and collaboration skills.
• High ethical standards and sound professional judgment.
• Understanding and applying laws and regulations relevant to banking and consumer finance.
• Evaluating potential risks and identifying control gaps in processes and systems.
• Conducting ongoing reviews to ensure adherence to compliance standards.
• Performing independent evaluations of controls and procedures to ensure regulatory alignment.
• Ensuring lending practices meet fair lending laws and guidelines.
• Identifying and mitigating risks that could disrupt business operations.
• Using analytical tools to interpret data and uncover compliance issues or trends.
• Assessing internal policies for consistency with current regulations.
• Documenting findings and communicating risks through clear, concise reports.
• Building strong relationships across departments to support compliance initiatives.
• Leading compliance-related projects and mentoring junior analysts.
• Applying sound judgment in evaluating complex compliance scenarios.
• Clearly conveying compliance requirements and findings to diverse audiences.
• Staying current with regulatory changes and industry best practices.
• Designing effective solutions to address compliance challenges.