Provide advice and guidance to the Chief Compliance Officer, senior management, and business lines regarding compliance with non-AML/BSA laws and regulations with a focus on privacy and non-lending consumer regulations (i.e. Regs E, D, DD, CC, ADA, UDAAP, Elder Abuse, E-Sign). Effective management and remediation of all internal and regulatory examinations and reviews, including interacting with the Bank’s regulators regarding any pending matters or request items. Manage the Bank’s Privacy and Identity Theft Programs. Manage the Bank’s Regulatory Change Management, Complaint and Ongoing Monitoring Programs. Manage staff. Report directly to the Banks Chief Compliance Officer.
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Job Type
Full-time
Career Level
Senior
Education Level
Associate degree