The Manager of Compliance is responsible for leading and managing the Bank’s Compliance function and for establishing, maintaining, and ensuring the ongoing effectiveness of the Bank’s Compliance Management System in alignment with the Bank’s Compliance Policy, regulatory expectations, enterprise risk management practices, and the Bank’s strategic objectives. This role serves as the Bank’s senior leader responsible for compliance risk management and acts with authority delegated by the Chief Risk Officer. The Manager of Compliance provides independent second line oversight across all applicable compliance risk areas and serves as a key advisor and resource to executive management, risk committees, and the Board of Directors. The Manager of Compliance partners closely with first line business units, BSA Compliance, Enterprise Risk Management, Internal Audit, and Legal to ensure regulatory requirements are appropriately interpreted, operationalized, and embedded into business processes and controls. The role is accountable for managing compliance staff, setting departmental priorities, and ensuring compliance activities are executed with consistency, quality, and timeliness. The Manager of Compliance also serves as the primary executive liaison with regulators for compliance related matters.
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Job Type
Full-time
Career Level
Manager