Senior Manager, Regulatory Compliance Resume Samples

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N Bruen
Nicholaus
Bruen
220 Briana Loaf
San Francisco
CA
+1 (555) 425 4079
220 Briana Loaf
San Francisco
CA
Phone
p +1 (555) 425 4079
Experience Experience
Houston, TX
Senior Manager Regulatory Compliance
Houston, TX
Purdy-Frami
Houston, TX
Senior Manager Regulatory Compliance
  • Responsible for developing and operating an effective compliance testing/monitoring program for the business unit
  • Assists management in identifying and containing compliance risk, compliance monitoring and fostering a compliance culture
  • Establish and implement global standards and strategic policies which ensure HPWS’s exposure to current risks and emerging arising risk is managed
  • Develop and oversee the implementation of departmental training programs, including orientation
  • This will be achieved by ensuring all actions take account of the likelihood of operational risk occurring
  • Global Transaction Banking role can be found in Targeted Monitoring, Wire Transfer & Cash Letter Deposits
  • Participate in special compliance reviews, projects and training efforts
Phoenix, AZ
Senior Manager, Regulatory Compliance
Phoenix, AZ
Halvorson, McGlynn and Hahn
Phoenix, AZ
Senior Manager, Regulatory Compliance
  • Provides recurring updates to senior leadership on current audit assignments, projects in process and developing industry trends
  • Assist team members’ in the registration process and the preparation of related documents. Review team members’ work product for accuracy
  • In conjunction with executive management and regulatory affairs , develop strategic and tactical initiatives to deliver our future regulatory strategy
  • Provide mentoring to junior staff members related to personal and professional development topics
  • Provide coaching and counseling to team members, as necessary, under VP’s direction
  • Interfaces frequently with Senior Leadership to provide status on current state, progress on new initiatives and issues relating to regulatory compliance
  • Program Management
present
Houston, TX
Senior Manager Regulatory Compliance Issue Management
Houston, TX
Johnston LLC
present
Houston, TX
Senior Manager Regulatory Compliance Issue Management
present
  • Establish and manage Issue Management meeting logistics, material coordination and distribution
  • Hosting a monthly Issues Management Forum (“IM Forum”) to review issues with relevant RC management teams, which is intended to
  • The role will support the Regulatory Compliance in building a strong governance framework for issue management
  • Provide supervisory support for issues management concerns (items escalated by other teams, insufficient action / follow up, etc)
  • Representing RC in issues management initiatives (with Group, relevant Governance Committees, etc.)
  • Providing a holistic view of issues that have RC impact
  • Providing analysis of issues (root cause, trigger events, themes, etc.), and reporting as necessary
Education Education
Bachelor’s Degree in Business
Bachelor’s Degree in Business
Michigan State University
Bachelor’s Degree in Business
Skills Skills
  • Proficiency in the use of Microsoft Office products and high level of knowledge of computer functions
  • Strong knowledge of current PCI DSS
  • Good judgment— ability to determine which issues to escalate vs. to resolve independently, and provide suggestions for possible resolution
  • Comfortable with ambiguity and ability to cope with rapid change
  • Excellent communication skills and ability to effectively communicate messages to all levels of the organization
  • Expert knowledge of Bank, technology and risk standards (e.g., infrastructure, architecture, processes, applications)
  • Synthesizes complex or diverse information with extreme attention to detail and organization
  • Proven problem solving ability; sound judgment and decision making
  • Ability to make an impact, influence and achieve results with effective negotiation, problem-solving and communication skills
  • Working knowledge of analytical testing methodology and equipment necessary to support the business of bakery and salty snack products
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11 Senior Manager, Regulatory Compliance resume templates

1

Senior Manager Regulatory Compliance Markets Regulatory Change Implementation Resume Examples & Samples

  • Provide expertise, guidance, oversight and governance in support of strategic initiatives and management of compliance risk, predominantly in relation to new regulatory requirements affecting the Markets business
  • Coordinates within the US with line of the business change management teams, Business Risk Control Managers (BRCMs) as well as line of business compliance officers (LCOs) to develops and implement appropriate compliance policies, programs, and controls for area of responsibility
  • To coordinate with Regulatory Affairs and Policy in support of these objectives
  • The work will be subject to the oversight and guidance of the Head of RC Markets Regulatory Change Implementation role
  • Maintains a compliant business support model in light of the challenging Markets regulatory environment
  • Demonstrates a thorough understanding of policies and procedures pertaining to the role. Aware of what constitutes an effective control environment
  • Preference of 10 years proven compliance and/or regulatory experience Bachelor’s degree
2

VP Senior Manager Regulatory Compliance Resume Examples & Samples

  • Serves as the central point of contact for US Compliance and oversees the accuracy of the information regarding the regulation in the risk assessment tools, while serving as the advocate for consistency of controls
  • Is knowledgeable about the results of any relevant BRCM reviews, CTAC testing and Internal Audits and provides input into the action plans to address any weaknesses identified. Ensures remediation efforts are on track for assigned regulation(s), regulatory requirements and/or compliance risks
  • Minimum of seven years proven and progressive financial services, compliance, and/or legal management experience, or equivalent
3

Senior Manager Regulatory Compliance Rbwm Amca Resume Examples & Samples

  • Demonstrate clear understanding of Compliance disciplines
  • Provide clear communications to the business
  • Minimum of 7 to 10 years proven and progressive financial services operations, compliance or legal experience or equivalent
4

Senior Manager Regulatory Compliance Rbwm Retail Banking Resume Examples & Samples

  • Provide highly professional, competent and skilled service to the RC function
  • The jobholder is required to think proactively use initiative in finding solutions to problems
  • Bachelor’s degree in business, law or related field or equivalent experience
  • Indepth knowledge of Regulatory Compliance requirements applicable to the business
5

Senior Manager Regulatory Compliance Rbwm Hifc Resume Examples & Samples

  • This position is only to be used in areas where the organizational structure has (Senior) Managers reporting into a level between the (Senior) Manager and Director
  • Positions designated as “general compliance” are typically focused on one or more major lines of businesses within the Company (i.e. Consumer Lending, Retail & Commercial Banking, Card Services, etc.). Many of the businesses entail a high degree of regulatory compliance and reputational risk, particularly with respect to risks arising out of non-compliance with extensive and complex regulations. Failure to comply with these regulations would have significant negative effects on relations with regulators, the reputation of the Company with the public and may result in regulatory impediments to mergers and acquisitions and significant regulatory sanctions, including regulatory fines of material amounts
  • The position directs compliance activities for the largest and/or most complex businesses in North America and is considered a senior compliance position within the business unit and/or function
  • The position routinely interacts with senior management for assigned businesses, division and country executives, other Group senior managers, regional and local compliance functions, peers throughout the organization and senior examination officials conducting regulatory examinations
  • This position is found in the following compliance function(s)
  • Ensures compliance for assigned line of business and directs the work of assigned Compliance staff. Makes high level compliance decisions affecting areas of responsibility
  • Minimum of ten years proven and progressive financial services operations, compliance and/or legal management experience or equivalent
6

Senior Manager Regulatory Compliance CMB Resume Examples & Samples

  • Corporate, Investment Banking and Markets (CIBM)
  • Directs the Compliance Risk Management program in Canada, working with business units, head office departments and Compliance colleagues to create, acquire, implement and maintain a compliance risk management and analysis methodology that leverages the Operational Risk database and processes
  • Synthesizes research, strategy, and other information to develop concise approaches to prevent, detect and investigate compliance issues and makes relevant recommendations to improve existing processes, systems and operations to mitigate risks
  • This position involves significant project management responsibilities including ownership of the Compliance Risk Management process and directing or assisting with other projects that are important to corporate-wide compliance initiatives
  • Minimum of eight years proven and progressive progressive financial services experience, particularly in assurance or risk management activities, or equivalent
  • Well-developed managerial, communications, analytical, organizational, and planning skills. Strong initiative and positive attitude required. Must be able to deliver services as part of the business Compliance team, across company lines, and to work independently in performing the job responsibilities
7

Senior Manager Regulatory Compliance Issue Management Resume Examples & Samples

  • The RC Issues Management Lead (“Lead”) is a new role that enhances issues management across Regulatory Compliance, and provides accountability for reviewing, escalating, tracking and reporting issues across HBSC. The role is intended to provide a sustainable solution for RC issues management. The primary responsibilities of the Lead include
  • Providing a holistic view of issues that have RC impact
  • Representing RC in issues management initiatives (with Group, relevant Governance Committees, etc.)
  • Supporting the LOB RC Officer Issues Teams, RC Officers and Regulation Coordinators with review, escalation, tracking and closure of issues
  • Reviewing issues for potential enterprise-wide impact
  • Providing analysis of issues (root cause, trigger events, themes, etc.), and reporting as necessary
  • Hosting a monthly Issues Management Forum (“IM Forum”) to review issues with relevant RC management teams, which is intended to
  • Identify RC issues with enterprise-wide impact
  • Determine trigger events
  • Review and discuss potential regulatory impact
  • Escalate non-adherence to the roles and responsibilities outlined in the RC IM Manual
  • Monitor the issues management process for sustainability
  • Review and escalate material issues, as necessary
  • Review third parties complaint reports for compliance matters
  • Review reporting, and work with MIS to ensure accurate and sustainable reporting
  • Provide supervisory support for issues management concerns (items escalated by other teams, insufficient action / follow up, etc)
  • Support RC LOB Issues Management Teams, as applicable
  • For RC-related issues, identify repeat issues, trends, analyze enterprise-wide impact and related root causes
  • Maintain a master inventory list of RC issues that are Potential or Violations of Law
  • The jobholder will need to work closely with the key stakeholders within Regulatory Compliance
  • This role will help ensure that HNAH’s RC program continually adapts to changing needs and requirements through continuous advancements, effective and coordinated project management, and by pro-actively sharing and leveraging best practices to maintain operational excellence
  • 5 or more year’s relevant experience in Project Management, Exam Management or Risk Management, Testing or Audit
  • Exceptional knowledge and understanding of compliance and regulatory expecations
  • Proven ability to communicate effectively with all levels of management, auditors, and regulatory examiners
8

Senior Manager Regulatory Compliance Resume Examples & Samples

  • A minimum of five years progressive experience and functional competencies in Retail Banking, Retail Credit Risk and Regulatory Compliance
  • Regulatory requirements in Canada and our international operation are rapidly changing with evolving standards and leading practices. The incumbent is required to maintain a current awareness of regulatory and best practice developments and standards
  • Demonstrated experience in planning, designing, managing and implementation of regulatory projects
  • Professional manner with excellent organizational and communication skills, both verbal and written
  • A highly proactive attitude, and use of initiative and independent judgment
  • Works with minimum supervision
9

Senior Manager Regulatory Compliance Resume Examples & Samples

  • Ensure oversight of applicable money laundering (ML), terrorist financing (TF), sanctions and reputational risks
  • Broad scope of knowledge of local securities environment, including products, operations, systems and organization
  • Strong knowledge of securities, and in particular, mutual fund related activities, products, operations and systems and full understanding of all significant regulatory compliance requirements
10

Senior Manager Regulatory Compliance Assurance Resume Examples & Samples

  • Interacts effectively with all levels of the Compliance and business teams as warranted. Acts as part of a team conducting assurance reviews for all compliance functions considered to be second line of defense functions. Possesses the ability to learn and understand a variety of business and compliance topics and the related risks in a short period of time. Acts proactively, develops and suggests ideas for enhancements to the team's activities
  • Experience with a wide range of compliance functions and product lines
  • Proven ability to manage conflicting priorities effectively and proven ability to meet challenging deadlines
  • FINRA Series 7, 9, 10, 24, 63 and/or 79 licensing a plus
11

Senior Manager Regulatory & Compliance Risk Resume Examples & Samples

  • Develop a framework to identify, assess, control, measure, monitor, and report regulatory and compliance risks across the U.S. Operations
  • Maintain effective relationships with U.S. Regulators and be the internal center of excellence for regulatory and compliance risk best practices
  • Collaborate with U.S. Legal and Compliance to create regulatory and compliance risk tolerances for the U.S. Operations
  • Develop and establish regulatory and compliance risk policies and standards while providing oversight and objective challenge to the 1st line of defense
  • Lead the compliance risk assessment effort that measures the inherent and residual risk associated with the U.S. Operations' business activities
  • Establish an internal control process that identifies the relationships among compliance policies, business processes/risks, and regulatory standards
  • Provide support to The Bank's Outsourcing and Other Arrangements program as a second line of defense challenge role to ensure the accuracy and completeness of arrangements
  • Collaborate with Operational Risk to ensure new products and services are assessed and business practices are understood
  • Participate in the development and delivery of specialized internal training on regulatory risk
  • Drive business performance through convergence of regulatory risk and compliance practices that allow for the identification of risk/compliance deficiencies and establish action plans accordingly
  • Coordinate with regulatory and compliance counterparts globally to share best practices and methodologies to maintain a competitive advantage for the bank and meet regulatory requirements
  • Collaborate with U.S. Businesses and support groups to establish Key Risk Indicators at the Enterprise and RCA Level. Ensure appropriate KRI owners are identified and provide timely information
  • A minimum of 5-10 years experience working in a regulatory and/or compliance capacity within a financial institution setting
  • Bachelor's Degree in business administration, finance, or similar field. Graduate degree or industry certifications preferred
  • Working knowledge of Capital Markets and current regulatory environment in the Financial Service Industry
12

Senior Manager Regulatory Compliance Resume Examples & Samples

  • 4-7 years of experience in Financial Crime Compliance, with relevant Commercial Banking business line exposure. Expereince in Trade or PCM is an asset
  • Experience dealing with regulatory matters and interaction with Regulators
  • Ability to lead change and contributing to joining up with the other teams in Risk and Business globally
  • Experience of working within a matrixed environment preferred
13

Senior Manager Regulatory Compliance Resume Examples & Samples

  • Directs the Compliance Risk Management program in Canada, working with business stakeholders, head office departments and Compliance colleagues to create, acquire, implement and maintain a compliance risk management and analysis methodology that leverages the Operational Risk database and processes
  • Liaises with Local Regulatory Compliance (RC) teams and with the Financial Crime Compliance (FCC) team to ensure consistent development and execution of risk assessment methodology, and to further the creation of compliance charts, compliance review frameworks and other compliance materials based on compliance risk assessments
  • Synthesizes research and other information to develop concise approaches to prevent, detect and investigate compliance issues and makes relevant recommendations to improve existing processes, systems and operations to mitigate risks
  • This position involves significant project management responsibilities including ownership of the Compliance Risk Assessment process and directing or assisting with other projects that are important to corporate-wide compliance initiatives
  • Deliver clear communications to the business
  • Must be able to deliver services as part of the business Compliance team, across company lines, and to work independently in performing the job responsibilities
  • Bachelor’s degree in Business, Finance, or equivalent; and a Chartered Accountant (CA), Certifiecate in Risk Management Assurance (CRMA), Chartered Financial Analyst (CFA), Certified Financial Planner (CFP) or similar certification preferred
  • Minimum of eight years proven and progressive financial services experience, particularly in compliance, audit, risk management, or equivalent
  • Financial auditor, risk management or legal experience is considered beneficial
  • Excellent communication and inter-personal skills, with experience in dealing with executives at all levels including the capacity to articulate the case for risk management and policy in the language of business
  • Well-developed managerial, communications, analytical, organizational, and planning skills
  • Strong initiative and positive attitude required
  • Exposure to the discretionary money management and /or Financial Planning industry targeting High Net Worth individuals, including the service/products offered
  • Full understanding of all significant laws, regulations, and regulatory compliance requirements applicable to portfolio management and/or financial planning firms. Knowledge of anti-money laundering/terrorist financing, sanctions and securities regulation an asset
  • Strong knowledge of Portfolio Management firms, products, operations and systems combined with in-depth understanding of and experience with compliance risks and controls assessments
  • Familiarity with HSBC systems and proficiency with the use of an exception reporting programming language including the ability to program, generate and analyze reports to meet review objectives is preferred
  • High level of proficiency with Microsoft Office applications, particularly Excel, and other data analytics tools
  • Practical experience and familiarity with self-assessment models, operational risk and internal controls is preferred
14

Senior Manager Regulatory Compliance Risk & Strategy Resume Examples & Samples

  • Coordinating the completion of team’s reporting requirements to ensure they are delivered on time and to an acceptable standard
  • Support AOP activities and on-going monitor of department spend and streamlining activities
  • Provide support all RC external exams and internal audits
  • Support the Head of Risk and Strategy in ensuring appropriate RC Governance and connectivity of all RC functions, including shared services
  • Support with the implementation of Regulatory Compliance Group Strategy
  • Assist with the communication activities within RC Risk & Strategy
  • Support with the preparation and consolidation of half yearly compliance certificates
  • Support the implementation of RC policies
  • A minimum of 7 years of Regulatory Compliance experience in relevant industries, with strong background in Risk & Strategy management and oversight is preferred
  • Knowledge of key current regulatory change initiatives and their impacts on the businesses
  • Ability to support decisions with sound reasoning. Ability to clearly articulate business and regulatory implications of analysis and findings
  • Highly motivated self starter with proven ability to work collaboratively within teams and to deliver on time
15

Senior Manager Regulatory Compliance Management Office Resume Examples & Samples

  • Support the Director in engagements with Scotiabank’s Business/Compliance Units and other internal/external RCM Stakeholders to identify industry best practices, capture Scotiabank-specific requirements, define enterprise standards and create common RCM processes
  • Assist in the development and implementation of RCM Program functionalities that will
  • Map Business Units to Regulatory Obligations and Key Controls
  • Contribute to the creation of the training model, delivery system and educational material to provide current and comprehensive information about Scotiabank’s RCM Program and the enterprise standards/processes that support the RCM technology-based RCM
  • Assist in the maintenance of the integrity and consistency of the standardized taxonomies, libraries and analytical frameworks upon which the RCM system relies for the effective collection, aggregation and reporting of compliance information
  • A minimum of 6 years’ progressive financial industry, professional services or legal experience in compliance, audit, risk, operations, shard services or a related field
  • Strategic, analytical, problem-solving and critical thinking capabilities
  • Spanish is an asset
16

Senior Manager Regulatory Compliance Global Banking & Markets Resume Examples & Samples

  • This role needs to lead without authority and be able to collaborate with multi stakeholders and deliver results. The role holder must be able to influence senior management and articulate clear business reasons for change initiatives
  • 8 to 10 years regulatory experience in the investment banking financial sector
  • Prior experience of working in a Regulatory Compliance Advisory or Investment Banking Legal capacity
  • Deep understanding of regulatory compliance requirements applicable to Global Banking & Markets business
  • Wide knowledge of Global Banking & Markets business, including products (e.g. securities, fixed income, commodities, advisory), operations, systems and organization (e.g. Institutional Sales & Trading, Relationship Management Coverage, Origination, Project Export Finance)
  • Strong communication and inter-personal skills, with experience of dealing with executives at all levels including the capacity to articulate the case for risk management and policy in the language of business
17

Senior Manager Regulatory Compliance Resume Examples & Samples

  • Physical Demands: Located in a comfortable indoor area
  • Environmental Conditions: No unusual conditions noted
  • Sensory Demands: No unusual conditions noted
  • Mental Demands: Considerable mental demands can be experienced by pressure from frequent deadlines, work interruptions, unpredictable or frustrating situations and simultaneous priorities and deadlines during quarter and year-ends. Normal office environment. Must be able to handle a diverse series of projects and initiatives while maintaining tight timelines and deadlines relating to MI production, reporting and analytics
  • The incumbent must be able to be fully conversant with the I.T. and technology systems currently in use within the various business units of the bank, including Finance systems such as HUB, TREATS, Sysgen (general ledger) Hyperion, Cognos, and other systems and applications
  • Degree in business, finance or related field, plus a professional accounting designation (CA/CMA/CGA)
  • Strong Treasury Products knowledge is desirable
  • 7-15 years of work experience in complex/senior functions within the financial services industry preferably in the similar role
  • Strong knowledge of the Regulatory banking environment and familiarity with risk management
  • Experience in dealing with regional and/or global related entities is an asset
  • Advanced systems skills Excel, ESSBASE, ACCESS, Database management etc
18

Senior Manager, Regulatory Compliance Resume Examples & Samples

  • Ensure ITS policies, procedures and practices are in adherence to and in compliance with applicable rules and regulations of all relevant regulatory agencies and effectively operating through well designed controls within the ITS organization
  • Responsible for assessing the state of controls management and risk posture, providing insight into trends and assisting with determining the direction for ITS control management including the performance of regular assessments to determine overall health of regulatory compliance and effectively overseeing any resolution of problematic issues, and provide general guidance on how to avoid or deal with similar situations in the future
  • Responsible for ongoing enhancement and maturation of the control stack, driving efficiency and effectiveness while enhancing overall risk posture
  • Responsible for regular reporting to the senior management team on regulatory compliance matters and control health and ensure reporting alignment to regulatory drivers including, but not limited to SOX / PCI / BASEL/MAS
  • Collaborate with other departments as needed to ensure compliance issues are addressed, investigated, resolved and once resolved, continually adhered to in practice
  • Lead a team of Risk Professionals to perform in the capacity of risk partners to the Technology groups to facilitate and coordinate internal and external audit team interactions and provide oversight and perform in the capacity of risk partners to the ITS teams groups to ensure successful and sustainable remediation and closure of issues on time
  • Support/Participate in developing the strategic direction of the IRM department
  • Develop and manage a team of professional resources by recruiting, training, coaching and conducting performance assessment of team members. Ensure team is meeting organizational and developmental objectives
  • Produce and manage departmental budgets
  • Strong expertise and familiarity with regulatory legislations and requirements applying to Global Financial Service institutions and demonstrated delivery results, including SOX, BASEL, PCI, MAS, etc
  • Ability to make an impact, influence and achieve results with effective negotiation, problem-solving and communication skills
  • Excellent communication skills and ability to effectively communicate messages to all levels of the organization
  • Expert knowledge of Bank, technology and risk standards (e.g., infrastructure, architecture, processes, applications)
  • Experience leading high performing, geographically dispersed teams
  • Comfortable with ambiguity and ability to cope with rapid change
  • Advanced and thorough understanding of businesses and/or organizational practices/ disciplines
  • Financial management experience
  • Good judgment— ability to determine which issues to escalate vs. to resolve independently, and provide suggestions for possible resolution
  • 10 years minimum regulatory or technology controls, audit or risk management
19

Senior Manager Regulatory Compliance CMB PCM Resume Examples & Samples

  • Liaises with Local Compliance Officers (LCOs) and with Anti-Money Laundering Compliance team to ensure consistent development and execution of risk assessment methodology, and to further the creation of compliance charts, compliance review frameworks and other compliance materials based on compliance risk assessments
  • Bachelor’s degree in business, related field or equivalent experience; CA (Chartered Accountant), CISA (Certified Information Systems Auditor) or similar certification preferred
  • In-depth knowledge of systems development process and project management is essential. Familiarity with HSBC systems and proficiency with the use of an exception reporting programming language including the ability to program, generate and analyze reports to meet review objectives is preferred
20

Senior Manager, Regulatory Compliance Resume Examples & Samples

  • Ensures Compliance program is envisioned, designed, developed, and implemented across the enterprise to meet business needs. Interfaces with all other relevant functional areas to ensure that program and all associated activities are understood and working effectively
  • Ensures Ensures solutions are well engineered, operable, maintainable, and delivered on schedule
  • Monitors current and future regulatory Compliance trends, technology and information that will enable the organization to maintain a compliant position
  • Interfaces frequently with Senior Leadership to provide status on current state, progress on new initiatives and issues relating to regulatory compliance
  • Recommends and drives new initiatives which improve existing and new tools and/or processes to ensure continued regulatory compliance
  • Applies new and innovative ideas to old or new problems. Fosters environments that encourage innovation. Contributes to and supports effort to further build intellectual property via patents
  • Evaluate new and emerging security technologies for potential suitability in the company's environment
  • Work collaboratively across multi-disciplinary teams throughout the company as a security expert
  • Mentor security members and other areas of the company regarding security concepts
  • Creates and builds annual program roadmaps
  • Monitors and ensures quality of program deliverables. Leads core team and key field resources to develop and monitor deployment schedule, strategies, and tools
  • Handles budgets and assists leadership team with needs for their respective departments
  • Sets department standards and best practices. Develops and oversees staff and is available for guidance
  • Effective Communication
  • Information Security, Governance & Risk Management
  • Program Management
  • Strong knowledge of current PCI DSS
21

Senior Manager Regulatory Compliance GBM Cross Products & E-trading Resume Examples & Samples

  • Ensure, in conjunction with Product LCOs, that our policies, procedures, training, controls, etc. are adapted to facilitate the new rule requirements imposed by swap execution facilities, working cross product in doing so
  • Given the cross product nature of the role, the role holder will also consider etrading channels used across the firm to ensure we have a consistent framework to manage regulatory risk
  • Devise and deliver training on SEF (Swap Execution Facility) rules, for stakeholders including the Business and Compliance officers. Coordinate with the Compliance Inspection Unit to ensure that Compliance monitoring is adequately captures and tests Automated and Algorithmic Trading requirements owed by the firm
  • Coordinate with Compliance Surveillance to ensure that market abuse surveillance activity conducted for Markets meets required standards for SEFs and other electronic trading venues
  • Provide support to the SVP Head of RC Markets Cross Products as required
  • Minimum 7 years proven audit, compliance, financial services operations and/or regulatory experience, or equivalent
  • Well-developed managerial, communications, negotiation, analytical, organizational, project management, and strategic and/or operational planning skills
  • Experience of working within an exchange or swap execution facility environment compliance function desirable
22

Senior Manager, Regulatory Compliance Resume Examples & Samples

  • Manage and document all activities pertaining to daily, monthly, and quarterly
  • Detail-oriented/analytical/high concentration level
  • Strong organizational, follow-up and time management skills; comfort in
23

Senior Manager Regulatory Compliance Management Resume Examples & Samples

  • Collaborate with various level of management within Enterprise Regulatory Risk Management and IB Business Units Head, subject matter experts in different Business Units, including the functions within the three lines of defense to assess and document existing regulatory compliance requirements, risks and the respective controls
  • Support Enterprise Regulatory Compliance Management in developing, implementing, and maintaining an enterprise-wide Compliance Program and culture of compliance in IB
  • Promote a risk-aware culture; ensure efficient and effective risk and compliance management practices by adhering to required local and global standards and processes
  • Maintain a high level of awareness and knowledge of regulatory compliance requirements to provide ongoing monitoring support to the Business Units by applying a risk-based approach to identify, risk-assess, communicate, manage and mitigate regulatory compliance risk
  • Provide centralized oversight to monitor and analyze reported regulatory compliance risks and control gaps to address systemic weaknesses in processes and report to stakeholders and senior management detailed review findings and recommendations
  • Escalate potential issues and exception items noted during the review process to senior management and Governance team for discussion and further investigation if deemed necessary
  • Monitor and review updates on outstanding audit issues and the respective management response to prepare consolidated report to Senior Management
  • Identify and address opportunities for improving Regulatory Compliance controls and efficiencies of processes
  • 5+ years of experience in the financial services industry with strong experience in banking operations, including three years of experience and management responsibility in compliance, audit, internal control and/or enterprise risk management, preferably in the Banking sector
  • Strong knowledge in assessing and documenting internal controls, regulatory compliance requirements & controls and experience in implementing new processes and controls as well as in measuring their effectiveness
  • Ability to understand and translate regulatory requirements, Enterprise-wide compliance policies and related governance activities into the business operating model to achieve operational efficiency and control effectiveness
  • Excellent interpersonal and communication skills (both orally and in writing) with the ability to interact effectively with different levels of stakeholders, especially senior management Team in Toronto and the supported countries
  • Strong negotiation, influence and conflict management skills to handle sensitive and delicate situations in a professional and proactive manner
  • Working across cultures and in matrixed organizational structures
  • Structure analytical approach with the ability to discern the practical application of regulatory and legal requirements
  • Experience in organizational change management, operating model design and implementation and regulatory changes in a compliance or risk management environment
  • Ability to manage multiple operational risk projects at the same time and meet tight deadlines
  • Proficiency with MS Word, PowerPoint, Excel, Access, and SharePoint (Visio proficiency a plus)
  • Fluency in Spanish and English required
24

VP Senior Manager Regulatory Compliance Resume Examples & Samples

  • US Securities Regulations
  • Dodd Frank/Volcker
  • ERISA, Pension Risk, Fiduciary Risk
  • Conduct and Sales Practices
  • Operational Risk Management
25

Senior Manager, Regulatory Compliance Resume Examples & Samples

  • Maintain and monitor compliance to company policies for quality and computer systems compliance
  • Assist in the identification and establishment of the necessary procedures, tools and methodologies to cover all quality and computer systems activities
  • Advise and consult within Synthes and with suppliers to facilitate timely and complete resolution to quality and computer systems compliance issues
  • Advise and consult on departmental or company-wide projects for quality and computer systems compliance including, but not limited to preproduction, production and post-production activities
  • Responsible for partnering with Product Development and Operations to ensure alignment and consistent application of quality and computer systems procedures and methodology
  • On an as needed basis, participate in the performance of Due Diligence assessments of potential partners and acquisitions
  • Perform audits of Synthes facilities for compliance to or identify issues with Synthes Quality and Computer Systems Compliance requirements
  • Maintain a working knowledge of applicable regulations and standards associated with quality and computer systems in order to maintain a state of compliance while providing innovative solutions to meet changing business needs
  • Coordinate and facilitate 3rd party assessments of the company's quality and computer systems compliance program
  • Know and follow all laws and policies that apply to one's job and maintain the highest levels of professionalism, ethics and compliance at all times
  • Diligently participate in our compliance program-related activities as denoted by your supervisor or our Chief Compliance Officer
  • Manages immediate staff and acts as subject matter expert for the department
  • Assist in other Corporate Compliance activities as requested
  • Must be available for travel
  • University degree in engineering, science or another technical field
  • Equivalent degree and/or adequate associated work experience is acceptable
  • Generally requires 8-10 years related experience (working experience in and/or supervising quality and/or computer systems compliance activities in a medical device and/or pharmaceutical company
  • Experience in managing and/or in performing audits in a FDA or similar regulated environment or in a Notified Body environment associated with medical devices or pharmaceuticals
  • Excellent organizational and communication skills in English (written and verbal) – German is highly regarded
  • Excellent soft skills when working with others up, down and sideways within Synthes, with consultants and with suppliers
26

Senior Manager, Regulatory Compliance Resume Examples & Samples

  • Current knowledge of labeling regulations
  • Understanding of Genesis nutrition calculation software
  • Proficiency in the use of Microsoft Office products and high level of knowledge of computer functions
  • Synthesizes complex or diverse information with extreme attention to detail and organization
  • Ability to collects and research data
  • Working knowledge of analytical testing methodology and equipment necessary to support the business of bakery and salty snack products
  • Experience with web based documentation storage
  • Effective project management skills
  • Ability to work on multiple projects at one time; ability to prioritize work load and adapt to changes when needed
  • Able to generate creative solutions to complex problems
  • Ability to define problems, collect data, establish facts, forecast, and draw valid conclusions both mathematically and analytically
  • Technical writing skills related to regulatory and quality assurance
  • High level of communication required; speaks clearly and persuasively in positive or negative situations; writes clearly and informatively and able to read and interpret written information
  • Proven problem solving ability; sound judgment and decision making
  • Maximum confidentiality is required; appropriately handles sensitive and proprietary information
27

Senior Manager Regulatory Compliance Retail Bank Wealth Management Hsbc Investment Funds Inc Resume Examples & Samples

  • Provides direct support to AVP RC RBWM HIFC HIFC CCO
  • Work with and build a strong relationship with the business and legal
  • Develop and maintain trending analysis and KI’s
  • Report on HIFC activities to assist the HIFC CCO with compiling management reports for assigned areas
  • Complete other responsibilities, as assigned
  • Minimum of 7-10 years proven and progressive financial services operations, compliance and/or legal management experience or equivalent
  • Expertise dealing with laws, regulations and regulatory compliance requirements related to the MFDA and retail mutual fund sales will be considered an asset
  • Strong knowledge of assigned businesses, products, operations, systems and organization and full understanding of all significant regulatory compliance requirements applicable to the business
  • Proficiency with personal computers and pertinent mainframe systems and software packages, Word and Excel
28

Senior Manager Regulatory Compliance Resume Examples & Samples

  • Communicate all identified compliance and quality risks to his/her supervisor
  • Develop departmental policies and procedures to assure applicable regulatory requirements are fulfilled
  • Manage direct reports to assure that Quality Assurance responsibilities of applicable regulations are fulfilled
  • Assure staff receives appropriate regulatory training and mentoring to enable the execution of regulatory responsibilities
  • Assist in the development and presentation of regulatory training for Quality Assurance and operations staff
  • Schedule resources to manage compliance systems and assure timely completion of: (1) audits of regulatory records and reports; (2) inspections of facilities and equipment; (3) investigations, (4) audits of methods, practices, and controls
  • Review and endorse Quality Assurance reports of audits and inspections to assure proper and consistent interpretation of regulatory requirements and corporate policies
  • Assure that all records and reports are prepared, communicated, and retained in accordance with applicable regulatory requirements
  • Meet with operations personnel to explain audit findings, resolve conflicts, and consult on corrective and preventative actions
  • Interface with Regulatory Agencies during inspections
  • Interface with Regulatory Agencies during regulatory product filings and updates (GMP only)
  • Administer programs for measuring compliance and quality through pertinent metrics on key performance indicators and provide periodic reports to management
  • Represent the corporation during regulatory and client inspections/audits
  • Prepare site/operation personnel for client and regulatory audits and prepare appropriate summaries and reports of such audits
  • Coordinate the preparation of regulatory and client audit responses and corrective action commitments
  • Track corrective actions and apprise management of their status
  • Assure vendors and suppliers identified/designated by Charles River are assessed for the compliance with applicable regulatory requirements
  • Participate in Regulatory Affairs and Compliance projects and programs
  • Assure that Corporate Quality and Compliance Policies are implemented and administered at the site/operation
  • Manage activities of assigned group(s) to ensure optimum performance of the group/function
  • Responsible for personnel management activities such as: scheduling, personnel actions (hiring, promotions, transfers, etc.), training and development, providing regular direction and feedback on performance, disciplinary actions and preparing and delivering annual performance and salary reviews
  • Assist in the development of short- and long-range operating objectives, organizational structure, staffing requirements and succession plans
  • Assist in the development and recommendation of departmental budget and authorize expenditures
  • Develop and oversee the implementation of departmental training programs, including orientation
  • Support the policy of equal employment opportunity through affirmative action in personnel actions
  • Ensure adherence to pertinent regulatory requirements and to departmental policies, practices and procedures [SOPs, safety procedures and biosafety protocols]
  • Education:Bachelor’s degree (B.A./B.S.) or equivalent
  • Experience: Five to seven years experience in the pharmaceutical and/or biotechnology based industry
  • Experience in supervision quality assurance, quality control, and/or regulatory affairs
  • Experience with assisting or managing QA audits and inspections as well as interfacing with regulatory agencies
  • Good working knowledge of pertinent regulations and site SOPs
  • Demonstrates strong leadership ability, communication, and facilitation skills
29

Senior Manager Regulatory Compliance Retail Banking Wealth Management Hsbc Investment Funds Resume Examples & Samples

  • Act as a compliance subject matter expert (SME) to the business and ensure adherence to applicable regulations
  • Participate in special compliance reviews, projects and training efforts
  • IFIC Mutual Funds Course or Canadian Securities Course, and Partners, Directors, Officers course, Chief Compliance Officer’s course are required. CFP and other securities related designations will be considered an asset
  • Ability to exercise independent judgment is required
30

Senior Manager, Regulatory Compliance Resume Examples & Samples

  • Prepare the annual incurred cost audit submission(s) within the required timeframes
  • Provide the audit support documentation to the auditors in their reviews and audits
  • Work in coordination with the Contract Close-out Group in the preparation of Cumulative Allowable Cost Worksheets
  • Prepare the contractor’s response to contract audit reports and other regulatory compliance related matters
  • Utilize a wide variety of electronic business and software tools to obtain, organize, and present relevant business data for management
  • Provides recurring updates to senior leadership on current audit assignments, projects in process and developing industry trends
  • Organize, prepare and teach the salient topics within the compliance training program
  • Organize and lead periodic meetings with the Defense Contract Management Agency (DCMA) and Defense Contract Audit Agency (DCAA) representatives
  • Provide mentoring to junior staff members related to personal and professional development topics
  • Bachelor's degree in Accounting or related field
  • Requires ten (10) or more years of relevant experience with government contract accounting / regulatory compliance experience
  • Possess extensive, relevant knowledge of Cost Accounting Standards (CAS), Generally Accepted Accounting Principles (GAAP), the Federal Acquisition Regulation (FAR) cost principles, DFARS contractor business systems requirements and their applicability to a government contractor
  • Strong computer skills, including MS Excel, Word, and PowerPoint
  • Ability to use appropriate software tools for data mining and research
  • Strong writing skills and demonstrated communication skills
  • Previous managerial / supervisory experience
  • Possess the ability to work with the various internal functional groups including accounting, legal, human resources, budgeting & planning, contracts, pricing, accounts payable and internal audit
  • A Certified Public Accountant and/or advanced degree
  • Ability to obtain / maintain a security clearance
  • Minimal travel – 5-10%
31

Senior Manager Regulatory Compliance Retail Bank Wealth Management Hsbc Investment Funds Inc Resume Examples & Samples

  • Maintain awareness of major regulatory changes affecting HIFC by developing policies and procedures to remain compliant and ensure appropriate communication is provided to the business
  • Identify and report all significant regulatory compliance breaches or gaps
  • Work with legal and business management to design and implement changes to business policies and procedures as appropriate
32

Senior Manager, Regulatory Compliance Resume Examples & Samples

  • Direct registration team to timely accomplish goals that allow the company to meet its sales objectives
  • Oversee the filing of marketing state initial registrations, deficiency responses, amendments, and renewals, as well as the preparation of documents/exhibits (i.e. bonds, declaration of covenants, contract documents, escrow agreement, public offering statement, etc.) and gathering of information from various sources
  • Assist team members’ in the registration process and the preparation of related documents. Review team members’ work product for accuracy
  • Ensure registration related charts are timely and accurately maintained (i.e., Sales Authorization Report, Critical Documents Chart, Project Information Chart, Master Calendar, etc.)
  • Communicate pertinent registration information to management, inter-company departments (i.e., Sales, sales sites, Accounting, Deeding and Document Compliance, Inventory Management, Club, Legal, Operations) and fee for service developer (and/or its attorney), as applicable, during all phases of the registration process
  • Provide training to registration team and various departments/offices, as necessary
  • Provide coaching and counseling to team members, as necessary, under VP’s direction
  • Associates Degree or more than 6 years of relevant experience
  • 3+ years drafting and proofing documents
  • 3+ years of legal and timeshare experience
  • Strong administrative and organizational skills with an attention to detail
  • 4+ years of supervisory experience with direct reports
  • 3+ years of compliance experience
  • 6+ years managerial experience