Wealth and Fiduciary Compliance Manager overseeing compliance risk management at Truist Bank. Leading compliance programs and collaborating with senior management to ensure compliance with regulations.
Responsibilities
Serves in an advisory capacity to Truist Bank’s personal and institutional trust and investment management businesses
Coordinates with a team of compliance professionals to ensure appropriate compliance risk oversight
Coordinates and executes compliance risk management activities to ensure compliance with the Enterprise Compliance Management Policy and Framework
Lead and develop a compliance program/function which may include leading a team
Provide leadership and communicate effectively with senior management and legal staff
Work closely with senior management to establish an appropriate compliance culture
Oversee the efforts of business units in the development and implementation of policies, procedures and processes
Aggregate and review Risk Committee materials across team
Communicate with management and regulators regarding compliance risk management activities
Collaborate across internal team to implement strategies related to compliance risk management framework
Partner with LOB leaders and other senior Truist teammates to execute on key strategic initiatives
Requirements
Bachelor's degree in Business, Economics, Finance, or Accounting, or an equivalent combination of education and work experience
Ten years of financial institution experience
Eight years of direct experience in compliance
Advanced knowledge, ability and expertise in compliance and a broad understanding of financial services
Demonstrated experience with regulatory agencies, requirements, and/or regulatory compliance
Solid understanding of risk management processes and risk analysis
Strong communication skills, both verbally and written, and the ability to communicate and interact with all levels of management.
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