Wealth Risk Officer

Old National BankWaconia, MN

About The Position

Old National Bank has been serving clients and communities since 1834. With over $70 billion in total assets, we are a regional powerhouse deeply rooted in the communities we serve. As a trusted partner, we thrive on helping our clients achieve their goals and dreams, and we are committed to social responsibility and investing in our communities through volunteering and charitable giving. We continually seek highly motivated and talented individuals as our people are critical to our success. In return, we offer competitive compensation with our salary and incentive program, in addition to medical, dental, and vision insurance. 401K, continuing education opportunities and an employee assistance program are also included in our benefit suite. Old National also offers a variety of Impact Network Groups led by team members who are passionate about driving engagement, creating awareness of diverse backgrounds and experiences, and building inclusion across the organization. We offer a unique opportunity to join a growing, community and client-focused company that is firmly rooted in its core values. The salary range for this position is $60,000 - $121,300 per year. Final compensation will be determined by location, skills, experience, qualifications and the career level at which the position is filled. We are currently seeking a Wealth Risk Officer that will work within Wealth Management to ensure adherence to applicable regulations, laws, policies and procedures, including Personal Trust, Retirement Plan Services, Trust Operations, and Corporate Trust business lines. Perform First Line of defense testing and monitoring to ensure key controls are working effectively, and identify and remediate exceptions. Work closely with the Wealth Risk Manager on high priority projects and tasks. Assist with coordinating internal and external audits and examinations. Support Wealth Management investment and fiduciary team members with following all laws, regulations & fiduciary best practices.

Requirements

  • Bachelor’s Degree in Finance, Business or related field preferred
  • 3 years of experience in investment management, business administration, accounting, finance or retail banking.
  • Awareness or familiarity with auditing/examination techniques, applicable banking laws and regulations of bank trust/wealth management services, policies and procedures.
  • Excellent communication, presentation and interpersonal skills.
  • Proficiency in Microsoft Word, Excel and PowerPoint

Responsibilities

  • Assist with the timely coordination of materials required for periodic examinations and audits.
  • Perform various new account testing, including reading and interpreting trust documents
  • Perform various periodic monitoring and testing, statement delivery, asset security, etc.
  • Monitor and report Administrative Review Exceptions
  • Approve and Monitor the Risk/Compliance Requests through Footprints/Get Support cases
  • Monitor and report overdrafts
  • Monitor and investigate potential OFAC hits
  • Work collaboratively with Corporate Risk Management and second line of defense Compliance teams
  • Serve as a subject matter expert on various Wealth Management committees

Benefits

  • medical
  • dental
  • vision insurance
  • 401K
  • continuing education opportunities
  • employee assistance program
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