Regulatory Exam Manager
U.S. Bank
- Minneapolis, MN
- $116,280-150,480 per year
- Permanent
- Full-time
- Exam planning
- Researching exam history and regulatory trends to provide strategic perspectives to business lines and senior management
- Preparing exam responses and coordinating interviews and meetings
- Assembling multidisciplinary teams, including subject matter experts and other personnel
- Preparing briefing books, position papers, or presentations
- Tracking the status of regulator requests and submissions
- Monitoring and reporting on exam status, including escalation of potential issues as they become apparent
- Assisting in the resolution of regulatory issues
- Maintaining exam records
- Fostering strong relationships with regulators, business lines, and senior management
- Developing and fostering relationships with business-line personnel, and collaborating to ensure timely and thorough resolution plan status updates
- Keeping informed of regulatory trends
- Exercising sound judgment to meet position responsibilities
- Bachelor's degree, or equivalent work experience
- Typically more than eight years of applicable experiencePreferred Skills/Experience
- Substantial experience in regulatory compliance activities, or equivalent work experience managing complex processes regarding legal or regulatory matters (such as litigation, project management, risk management, or audit)
- Proficiency in office applications; including word processing, PowerPoint, spreadsheets, and databases
- Excellent verbal and written communication skills
- Ability to research and manage multiple projects and deadlines simultaneously
- Strong presentation skills
- Advanced degree or certifications, including JD or MBA
- Substantial experience in regulatory compliance activities, or equivalent work experience managing complex processes regarding legal or regulatory matters (such as litigation or project management)
- Advanced knowledge of government and regulatory laws and regulations; and the supervisory oversight exercised by the Office of the Comptroller of the Currency (OCC), Federal Reserve Bank (FRB), the Consumer Financial Protection Bureau (CFPB), Securities and Exchange Commission (SEC), Commodity Futures Trading Commission (CFTC), Financial Industry Regulatory Authority (FINRA), and the National Futures Association (NFA)
- Current or prior Series 7 license
- Thorough knowledge of U.S. Bancorp operations, policies, and procedures