Overview: Complete Compliance Risk Management activities throughout the enterprise for their assigned area of responsibility. The Compliance Advisor will help develop, implement, and execute strategy of the workflow and performance of personnel to ensure processes are completed in an accurate and timely manner. The Compliance Advisor operates under the firm’s second line of defense independent control function by executing program activities that prevent, detect and mitigate regulatory and compliance risk across the division. Specific to Posting – Provide Advice, Guidance and Oversight to Organization and 1st Line Business Partners concerning: Related and Relevant Policies, Procedures and Industry Best Practices Debt and Equity Capital Markets Real Estate Capital Markets Treasury Capital Markets Foreign Exchange Derivatives Commercial Banking Institutional Broker/Dealer Loan Trading M&A Advisory Leveraged Finance Controls, Policies and Procedures Compliance Risk Assessments Root Cause Analysis Internal and Employee Investigations Employee Conduct Training creation and Delivery Development and refinement of policies and procedures Interacting with Internal and External Examination Staff and assisting in responding to related findings/concerns Responsible Banking: Fair lending laws and regulation (federal and state); unfair, deceptive and abuse acts and practices (UDAAP), Governance: Issues management, examination management, reporting, risk assessment, quality control and assurance, budgeting, technology solutions, compliance training Relevant Rules and Regulations (Securities Act of 1933, Securities and Exchange Act of 1934, Investment Advisors Act of 1940, Investment Company Act of 1940, FINRA Rule and Regulations, CFTC, Dodd-Frank, Volcker, Reg 9, Reg R, etc.) Related Information Barrier/Employee Trading Rules, Regulations and Practices Related Privacy Rules, Regulations and Practices Private equity and private placements Trade Reporting, Best Execution, Order Flow and Soft Dollars Product Development and Review Regulatory Filings Drafting, providing advice, guidance and SME relating to customer disclosures Marketing Collateral review and challenge (as needed) Testing and Project Management: All CRM testing functions as well as enterprise testing support to other departments Enterprise: Laws and rules that apply across the enterprise, such as privacy rules, FCRA, TCPA, Reg W, the Volcker Rule, Reg O, Dodd-Frank, Sarbanes-Oxley, etc – BSA/AML & OFAC: Laws and rules that apply to BSA/AML/Sanctions program including Customer Due Diligence, suspicious activity, OFAC and regulatory reporting.
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Job Type
Full-time
Career Level
Mid Level
Number of Employees
5,001-10,000 employees