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- Contributing to the formulation and execution of the regulatory strategy by assessing areas of supervisory focus, monitoring the regulatory landscape, and evaluating regulatory intelligence
- Establishing and maintaining a proactive engagement and coverage plan for key regulators globally to facilitate continuous interactions and promote interactions with key stakeholders across the firm
- Implementing firmwide regulatory interaction requirements and protocols to manage relationships with regulators, including processes to ensure adherence
- Acting as advisor and coach to guide business and functional partners, creating briefing materials and providing credible review in preparation for successful interactions with regulators
- Tracking and reporting on interaction quality and cadence, regulatory themes and focus areas across regulatory regimes
- Responsible for global collaboration and communication around regulatory themes and focus
- Providing oversight and guidance on the quality and sufficiency of regulatory responses and ensuring adherence to enterprise-wide requirements
- Minimum of least 14 years of management in financial services experience in any of the following disciplines: Bank Regulator or Examiner, Compliance, Audit or equivalent work experience
- Sound understanding of regulatory agency supervisory process and experience working with regulators
- Demonstrated effective written and verbal communication skills, including the ability to communicate technical topics in concise terms
- Ability to manage multiple projects and deadlines simultaneously
- Knowledge and experience associated with Bank products
- Bachelor's Degree in Business Administration, Finance or Accounting preferred
- Medical
- Prescription Drug
- Health Savings Account (HSA)
- Flexible Spending Accounts (FSAs)
- Dental
- Vision
- Employee-Paid Life and Accidental Death & Dismemberment (AD&D) Insurance
- Employee-Paid Long-Term Disability
- Critical Illness Insurance
- Accident Insurance & Hospital Indemnity Insurance
- Business Travel Accident Insurance
- Short-Term Disability
- Identity Theft Protection
- Legal Benefits
- BeWell Programme
- Paid Time Off
- Employee Assistance Program (EAP)
- Salary Savings Program (SSP)
Head of Regulatory Interactions, Managing Director, Hybrid - Boston, MA, United States - State Street Corporation
Description
Who we are looking for: The Head of Regulatory Interactions is a senior leadership position within State Street's Corporate Compliance Global Regulatory Liaison Office (GRLO). As a part of the GRLO, this role contributes to fostering a positive regulatory culture and promoting proactive interaction with regulatory agencies. The role reports to the Global Head of Regulatory Relations who reports to the Chief Compliance Officer. The Head of Regulatory Interactions is responsible for managing the global regulatory interaction program. In this role you will work closely with the Head of Regulatory Relations to develop and execute the firm's regulatory engagement strategy. This role is highly visible within the organization and involves regular interactions with senior business and functional leaders. You will lead a small team of professionals. This global role requires in-depth experience and understanding of regulatory agencies supervisory process, excellent communication skills and ability to influence a wide variety of stakeholders, including regulators. The role can be performed in a hybrid model, where you can balance work from home and office (four days onsite and one day remote). Preferred Location: Boston (MA) and New York (NY), however we will also consider applicants from Arizona, California, Connecticut, Florida, Kansas, Missouri, New Jersey, North Carolina, Pennsylvania, Texas. What you will be responsible for:$ $ Annual The range quoted above applies to the role in the primary location specified. If the candidate would ultimately work outside of the primary location above, the applicable range could differ.
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