Senior Lead Compliance Officer
at Wells Fargo
Minneapolis, Minnesota, USA -
Start Date | Expiry Date | Salary | Posted On | Experience | Skills | Telecommute | Sponsor Visa |
---|---|---|---|---|---|---|---|
Immediate | 05 Sep, 2024 | USD 300000 Annual | 05 Jun, 2024 | 7 year(s) or above | Best Execution,Investments,Training,Trading Desk,Affiliates | No | No |
Required Visa Status:
Citizen | GC |
US Citizen | Student Visa |
H1B | CPT |
OPT | H4 Spouse of H1B |
GC Green Card |
Employment Type:
Full Time | Part Time |
Permanent | Independent - 1099 |
Contract – W2 | C2H Independent |
C2H W2 | Contract – Corp 2 Corp |
Contract to Hire – Corp 2 Corp |
Description:
APPLICANTS WITH DISABILITIES
To request a medical accommodation during the application or interview process, visit Disability Inclusion at Wells Fargo .
Required Qualifications:
- 7+ years of Compliance experience, or equivalent demonstrated through one or a combination of the following: work experience, training, military experience, educatio
Desired Qualifications:
- Expert knowledge of the Federal and state regulations applicable to investments and trading activities for agency and trust accounts of a National Bank including Prudent Investor regulations and OCC Parts 9 and 12
- Expert knowledge of overseeing the activities of a Bank trading desk, including Best Execution, Trading with Affiliates, and other fiduciary conflicts of interest
- Experience translating and presenting complex information in a manner that educates, enhances understanding and influences decisions at all levels including the executive-level
- Demonstrated ability to influence, partner, and negotiate with multiple stakeholders to gain commitment and accomplish goal
Responsibilities:
Wells Fargo is seeking a Senior Lead Compliance Officer in Corporate Risk as part of Wealth & Investment Management (WIM) Compliance. Learn more about the career areas and business divisions at wellsfargojobs.com . This Senior Lead Compliance Officer will provide compliance leadership and guidance to the Private Wealth Trust and Fiduciary Investments team and the Bank trading desk.
In this role, you will:
- Provide leadership and guidance to Private Wealth Trust and Fiduciary Investments and Bank trading desk on various regulatory and policy requirements covering investments and trading activities for agency and trust accounts
- Perform assessment and challenge the control environment covering investments and trading activities for agency and trust accounts to help ensure adequate design for regulatory compliance
- Provide oversight and monitoring of business group risk-based compliance programs
- Establish, implement and maintain risk standards and programs to drive compliance with federal, state, agency, legal and regulatory and Corporate Policy requirements
- Oversee the Front Line’s execution and challenges appropriately on compliance related decisions
- Develop, oversee, and provide independent credible challenge to standards with subject matter expertise
- Work with complex business units, rules and regulations on moderate to high risk compliance matters
- Monitor and independently challenge the reporting, escalation, and timely remediation of issues, deficiencies or regulatory matters regarding compliance risk management
- Provide direction to the business on developing corrective action plans and effectively managing regulatory change
- Develop, oversee, and provide expert business and regulatory compliance functional knowledge
- Provide regulatory compliance risk expertise and consulting for projects and initiatives with high risk over multiple business lines
- Identify and recommend opportunities for process improvement and risk control development
- Consult and engage business on developing corrective action plans and effectively managing regulatory change
- Report findings and make recommendations to management or directors and appropriate committees
- Make decisions and resolve issues to meet business objectives
- Interpret policies, procedures, and compliance requirements
- Collaborate and consult with peers, colleagues and managers to resolve issues and achieve goals
- Work with complex business units, rules and regulations on moderate to high risk compliance matters
- Interface with Audit, Legal, external agencies, and regulatory bodies on risk related topics
Required Qualifications:
- 7+ years of Compliance experience, or equivalent demonstrated through one or a combination of the following: work experience, training, military experience, education
Desired Qualifications:
- Expert knowledge of the Federal and state regulations applicable to investments and trading activities for agency and trust accounts of a National Bank including Prudent Investor regulations and OCC Parts 9 and 12
- Expert knowledge of overseeing the activities of a Bank trading desk, including Best Execution, Trading with Affiliates, and other fiduciary conflicts of interest
- Experience translating and presenting complex information in a manner that educates, enhances understanding and influences decisions at all levels including the executive-level
- Demonstrated ability to influence, partner, and negotiate with multiple stakeholders to gain commitment and accomplish goals
Job Expectations:
- Ability to travel up to 5% of the time
- This position offers a hybrid work schedule
- This position is not eligible for VISA sponsorship
REQUIREMENT SUMMARY
Min:7.0Max:12.0 year(s)
Financial Services
Accounts / Finance / Tax / CS / Audit
Finance
Graduate
Proficient
1
Minneapolis, MN, USA