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Bank Compliance and Risk Officer – VP – To $150K – Irving, TX – Job # 3370

Who We Are

The Symicor Group is a boutique talent acquisition firm based in Lincolnshire, IL & Rockport, TX. Our nationally unique value proposition centers around providing the very best available banking and accounting talent. In fact, most of our recruiters are former bankers or accountants themselves!

We know how to evaluate the very best banking and accounting talent available in the market. Whether you are a candidate seeking a new opportunity or a bank or company president trying to fill an essential position, The Symicor Group stands ready to deliver premium results for you.

The Position

Our bank client is seeking to fill a Bank Compliance and Risk Officer – VP role. The position is responsible for efficiency and  effectiveness. This person is responsible for the execution of the annual compliance risk assessment,  performing credible challenge of line-of-business and operations (first line of defense) risk and control  self-assessments, and maintaining the compliance regulatory applicability matrices. This role plays a  critical role in the execution of the Bank’s responsibilities to monitor and report compliance related  risks.The opportunity has a generous salary of up to $150K and a full benefits package.  (This is not a remote position.)

Bank Compliance and Risk Officer – VP responsibilities include:

  • Prepare and manage the Risk Assessment by identifying the risk profile of the Bank and  analyzing the information to better assess the risks identified and mitigate any gaps in control.  • Manage and administer the Risk and Compliance Self-Assessments.  
  • Manage and administer the Regulatory Applicability Matrices  
  • Conduct due diligence on new MSB applications, establish and direct ongoing monitoring  activities for MSBs based upon risk.  
  • Monitors application systems, maintain investigation files, monitors all bank regulations,  policies and/or procedures for new or updated regulations and disclosures, and conduct  periodic assessments of the departments for compliance.  
  • Responsible for monitoring effectiveness of Identity Theft Program and providing updates to  Board of Directors. 
  • Manage the execution of the annual compliance risk assessment results and management  reporting.
  • Prepare communication materials and documentation, including methodology descriptions  consistent with regulatory guidance.  
  • Exploring and gaining an understanding of the primary activities of the business, including key  processes and risk controls  
  • Develop mapping of regulations to products and processes.  
  • Serves on the Compliance committee and meets and discusses with Examiners and Auditors  regarding the compliance program.  
  • Oversee and manages compliance department.  
  • Develop and present new compliance training sessions on current and new regulations.  • Review all projects for compliance related issues.  
  • Performs other job-related duties or special projects as assigned.  

Who Are You?

You’re someone who wants to influence your own development. You’re looking for an opportunity where you can pursue your interests and your passion. Where a job title is not considered the final definition of who you are, but merely the starting point for your future.

You also bring the following skills and experience:

  • Requires a bachelor’s degree. CRCM and/or CAMS preferred.  
  • 7 to 10 years’ experience in banking with 4 to 6 years compliance and risk experience. 
  • Experience with industry related systems/software.  
  • Experience with high-risk money services business (MSB) accounts is required.
  • Must have strong knowledge of Bank Compliance regulations.  

The next step is yours.  Email us your current resume along with the position you are considering to:

resumes@symicorgroup.com

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