Business Control Manager- Technology Risk & Regulatory Engagement Lead

Bank of AmericaPennington, AL
$125,000 - $178,700Onsite

About The Position

Global Technology Risk and Regulatory Management is seeking a leader who will drive timely and accurate Regulatory, Audit & GCOR Engagements, who is motivated, passionate, thrives in a fast-paced culture, balances priorities, drives delivery, flawless execution, and enjoys team successes. This role provides opportunity to work with peers across CIO teams within Global Technology, as well as exposure to technology senior leaders. The Technology Risk & Regulatory Engagement Lead candidate would lead complex Regulatory/Audit exams or GCOR assessments focused on technology including development of strong well positioned response materials. Applying technical knowledge to understand and address questions, coordinate with the technical subject matter experts in managing assessment flow and aggressive timelines from start of the exam through to completion. This role works closely with Subject Matter Experts and Leaders to analyze assessment questions, authoring, editing and reviewing responses inclusive of overviews or deep dive presentations on technical areas of focus. The role will also review technical evidence returned, ensure complete and accurate responses, and execute review and analysis of identified control deficiencies to drive to appropriate disposition. The role interfaces with all levels of organization to ensure appropriate management involvement, awareness and understanding of risk, regulatory requirements, and impacts; it requires strong communication and leadership skills including the abiity to engage effectively with senior internal and external constituents and stakeholders. Further the candidate must have the ability to drive collaboration with teammates across organizations (Technology, Operations, Audit, GCOR, GIS etc.) to ensure accurate and timely deliverables. Candidate would work under minimal supervision requiring business/technology acumen and strong understanding of regulatory environment and/or audit processes and procedures.

Requirements

  • 7+ years of internal control, regulatory, audit, risk, legal or compliance experience within a financial services or technology organization
  • Communicates complex technical subject matter into clear, concise language suited for various audiences ranging from executives to junior analysts; strong writing/communication skills to convey outcomes to stakeholders
  • Excellent writing/communication skills - the ability to synthesize technical content from subject matter experts to clearly articulated complex subject matters to a variety of audiences
  • Can "connect the dots" to demonstrate ability to identify and perform thematic analysis
  • Strong relationship management and collaboration skills with the ability to influence and motivate teams, stakeholders and peers to build consensus and solve problems
  • Comfortable with ambiguous situations capable of analyzing, simplifying and collaborating to solve complex problems
  • Strategic thinker, self-starter, organized, versatile, and capable of performing work with minimal management oversight
  • Detail oriented with an ability to review documentation for accuracy and relevance to topic
  • Understands complex issues and drives timely decisions, knowing when to engage others for additional input, and when to act independently
  • Proven facilitation and presentation skills: ability to present key messages, recommendations and information in a clear, concise and insightful way including to executive level leadership
  • Excellent project management and interpersonal skills; strong attention to detail, accuracy and understanding prioritization within an environment where majority of issues are a priority
  • Ability to influence the opinions and actions of key stakeholders and gaining their trust
  • Excellent Microsoft Office skills, specifically PowerPoint and Word, SharePoint, and Excel
  • Excellent facilitation and presentation skills
  • Knowledge of Technology Domain discipline(s)

Nice To Haves

  • Bachelor's and/or Master’s degree and/or relevant work experience
  • Cybersecurity related, CISSP, CRISC, CISA, CISM certification or similar
  • Prior operational risk or compliance experience in the technology arena
  • Detailed, bank-specific risk management and governance experience
  • Ability to work with technical and non-technical business owners

Responsibilities

  • Leads the assessment of the design and effectiveness of the risk and control environment to support Client Operational Services and ensure adherence to enterprise-wide standards
  • Performs monitoring and testing of controls, identifying issues and control improvements for remediation
  • Leads the implementation of optimized controls and enhanced Quality Assurance (QA) practices to support business continuity efforts
  • Manages the performance and productivity of team members that conduct quality inspection reviews
  • Ensures timely execution of QA activities including control execution, case management, and results reporting
  • Manages and reviews all operations front line unit responses for regulatory exams, internal audits, and other monitoring and inspection reviews
  • Ensures accuracy of data and that relevant information is captured for inspection metrics to support governance for dashboard reporting

Benefits

  • Access to paid time off
  • Resources and support to our employees
  • Discretionary incentive eligible
  • Annual discretionary award based on individual performance, line of business performance, and overall company success.
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