Sr. Regulatory Compliance Advisor
Company: Santander Holdings USA Inc
Location: Miami
Posted on: May 1, 2025
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Job Description:
Sr. Regulatory Compliance Advisor Miami, United States of
America Position Summary : The Senior Advisor - Regulatory
Compliance is responsible for supporting the formulation and
maintenance of the various Regulatory Compliance Programs that
include testing, Volcker, Regulatory Change Management, Privacy,
Code of Conduct, GLBA and GDPR. These are designed to ensure that
the Bank achieves compliance with all applicable rules, laws and
regulations; other duties include the identification of potential
enhancements to the current process, discussion with department
supervisors, inclusive of open issue resolution and closure. This
effort requires data collection, monitoring, research, analysis,
collaboration, documentation and tracking. The position involves
providing assistance in the review and maintenance of non-Fiduciary
Risk and non-BSA/AML and OFAC related policies, procedures and
standards of the unit. In addition, this position will assist the
Regulatory Compliance Officer in all reporting and the
presentations to the various committees. Finally, the position
requires performing duties in an environment that requires the
understanding of international private banking issues while
maintaining high standards with pressing deadlines. The Senior
Advisor - Regulatory Compliance will report to the Regulatory
Compliance Expert. Position Duties / Responsibilities --- Assist in
the execution of the regulatory compliance testing program
established to ensure compliance with regulatory requirements, bank
policies and procedures. --- Assist in the review and maintenance
of all SHUSA and internal policies, procedures and standards
applicable to the Unit. --- Assist the Regulatory Compliance
Officer with the preparation of the various committees and
presentations. --- Assist with the preparation and compilation for
all SHUSA Compliance reports --- Act as a reference source for bank
personnel regarding regulatory guidance or questions with policies
and procedures. --- Assist in the execution of the bank's
regulatory compliance risk assessment. --- Assist the Regulatory
Compliance Officer with the administration and performance of the
regulatory compliance training, as needed. --- Assist with the
preparation for examination and audits. --- Assist the Regulatory
Compliance Officer with the identification of potential areas of
compliance vulnerability and risk; assist in the implementation of
corrective action for resolution of items and assist in providing
general guidance to Bank personnel. --- Keep abreast of current
industry trends, best practices and regulatory in order to identify
areas of concern and proactively mitigate exposure and risk. ---
Assist with other duties as assigned. Specialized Knowledge ----
Basic understanding of banking regulations, bank operations,
accounting, risk management controls, internal control objectives
and practices and audit concepts and techniques. --- Ability to
identify, interpret, and analyze current and emerging developments
for new laws, regulations and determine their impact and
requirements. --- Computer skills - knowledge of Microsoft Office
applications (e.g., Excel, Word, Power Point, Outlook, etc.).
Education : Bachelor's degree required or equivalent experience -
Business Experience : 7-10 years of relevant experience or
demonstrated required level of proficiency Supervisory / Management
Scope: Individual contributor - Technical Knowledge: --- Strong
verbal and written communication skills.
--- Excellent interpersonal skills in order to establish objective
and professional interaction with all levels of bank personnel in a
consultative manner.
--- Strong critical thinking, problem solving and decision making
skills.
--- A proactive self-starter who works well under pressure and
provides results against a deadline in a timely manner, values
personal accountability and ownership. Licenses / Certifications :
CP/AML preferable Languages: Spanish, English
Diversity & EEO Statements: At Santander, we value and respect
differences in our workforce and strive to increase the diversity
of our teams. We actively encourage everyone to apply. Santander is
an equal opportunity employer. All qualified applicants will
receive consideration for employment without regard to race, color,
religion, sex, sexual orientation, gender identity, national
origin, genetics, disability, age, veteran status or any other
characteristic protected by law. Working Conditions: Frequent
Minimal physical effort such as sitting, standing and walking.
Occassional moving and lifting equipment and furniture is required
to support onsite and offsite meeting setup and teardown.
Physically capable of lifting up to fifty pounds, able to bend,
kneel, climb ladders. Employer Rights: Employer Rights:This job
description does not list all of the job duties of the job. You may
be asked by your supervisors or managers to perform other duties.
You may be evaluated in part based upon your performance of the
tasks listed in this job description. The employer has the right to
revise this job description at any time. This job description is
not a contract for employment and either you or the employer may
terminate at any time for any reason.
Primary Location: - Miami, FL, Miami Other Locations: -
Florida-Miami Organization: - Banco Santander International Salary:
$71,250 - $130,000/year
Keywords: Santander Holdings USA Inc, Coconut Creek , Sr. Regulatory Compliance Advisor, Other , Miami, Florida
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