The opportunity is to provide clients with a candid and reliable overview of their risk landscape, with solutions to build confidence and trust with customers, the market, and when required by regulation or contract.
Requirements
- Experience working with a Bank / Financial Institution’s Regulatory Compliance department with knowledge of interpreting regulations/circulars/laws as received from regulatory bodies
- Preparing MIS for senior management and providing advisory support to business units
- Preparing regulatory compliance checklists, tracking/logging regulatory interactions
- Awareness of Regulatory Compliance requirements
- Proactively engage with multiple stakeholders to ensure adherence with defined timelines
- Support the engagement team by developing status update presentations and decks for the client on a periodic basis.
- Determine that the work delivered is of high quality.
- Anticipate and identify engagement related risks and escalate issues as appropriate
- Actively establish client (process owner/functional heads) and internal relationship
- Demonstrate an application & solution-based approach to problem solving technique.
Benefits
- Generous Paid Time Off
- 401k Matching
- Retirement Plan