This position is responsible for developing and executing the Compliance Risk Management Program of the Bank, which includes the interpretation and implementation of complex regulatory requirements that impact multiple systems, processes, products, and clients. This includes maintaining detailed knowledge of new and existing regulations that impact enterprise activities as well as identifying strategies to mitigate compliance risk for consumer credit card products. This position works closely with business leaders to provide consultative guidance and direction throughout implemented changes and collaborates with a team of Compliance Officers that supports the execution of these responsibilities. This is a remote role that may be hired in several markets across the United States.