This position reports to the Compliance Monitoring and Testing (CMT) Manager and is responsible for developing testing programs and work papers, monitoring, evaluating, and testing controls of lending operations and products to monitor compliance with all applicable state and federal regulations. Senior Analysts are responsible for the execution of tests as assigned within the Compliance Testing Program, as well as assisting in the program’s continued development and enhancement to monitor regulatory requirements. The scope and type of testing assignments will vary based upon identified risk and the Department’s yearly Risk Assessment of the Company. They will also test controls implemented due to issues raised both within the Department and other areas of the Company. The person in this position must be able to effectively identify and communicate federal and state laws, contractual requirements, and administrative rules. They must be able to identify and communicate areas of risk while being able to differentiate between Compliance and Operational risk. They should be able to build effective relationships with management personnel from all areas of the Company. As part of the Corporate Compliance Department, Senior Analysts assist in ensuring that the Compliance Testing Program is consistent with the corporate goals and strategic objectives. They may be required to perform other tasks as needed and assigned and performs all duties with minimal supervision.
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Job Type
Full-time
Career Level
Senior