Jobs
>
New York City

    Compliance Officers - New York, NY, United States - Flagstar Bank

    Flagstar Bank background
    Description

    Regulatory Compliance is responsible for developing and maintaining a Compliance Management Program (CMP) for the Bank that reasonably ensures compliance with consumer protection laws and regulations, addresses associated risks of harm to consumers and customers, and integrates consumer compliance into the day-to-day responsibilities of its management and employees.

    This visible role will work independently with business unit (BU) risk partners to support the CMP.

    The Senior Compliance Advisor is expected to be able to independently prioritize, achieve work deliverables, and provide periodic updates to applicable Compliance leaders on matters requiring escalation and assistance and to collaborate, advise, and coordinate their activities.

    Maintain an advanced and comprehensive knowledge of assigned BU processes and the consumer protection laws and regulations that pertain to them and have advanced independent judgment skills required to deliver advisory support of technical compliance rules and business operations while serving as a subject matter expert to the assigned BU's on consumer protection matters.

    They also advise and assist the BU in developing and implementing risk-based controls to ensure compliance with the applicable consumer protection laws and regulations.

    This position will serve a vital role in the Regulatory Compliance Department and will be an integral part of the company's overall risk management strategy.

    Using independent and sound judgment, provide subject matter expert advice to assigned BU's regarding applicable servicing consumer compliance regulations while collaborating, advising, and coordinating with Compliance leaders.

    Applicable regulations include but are not limited to CFPB Deposit Reconciliation, EFTA, ESIGN, Reg CC, HMDA, Overdraft, Guidance, RESPA, NDIP, Sales Practices, TISA, TILA, FCRA, SCRA, FDCPA, FDPA, and applicable State requirements.

    Maintain assigned risk statements and Compliance policies
    Maintain close contact with assigned BUs to keep apprised of objectives, strategy, new initiatives, emerging issues/risks (e.g. Mortgage Servicing Rights Transfers, Loss mitigation, ARM's, HELOC, etc.)
    Stay abreast of BU processes and applicable consumer compliance laws and regulations
    Provide advice, counsel and recommendations using independent and sound judgment to BUs on consumer compliance questions/issues
    Complete special projects as necessary
    Provide periodic updates for CMP reporting
    Periodically review business unit policies and procedures (especially changes) to ensure they meet regulatory requirements
    Assist in developing and implementing action plans to comply with any new/revised consumer compliance laws and regulations
    Facilitate completion of Consumer Compliance Risk Assessment
    Work with BU and Compliance Training Manager to develop BU annual training plan for assigned BU
    Work with Compliance Assurance Manager to develop BU annual testing plan for assigned BU
    Work with Compliance Assurance to develop Key Risk Indicators (KRIs) for early warning signs of compliance concerns for assigned BU

    Review applicable indicators of risk – KRIs, QC results, Compliance Testing results, ERM Issue Management Report, complaints, risk assessment results, etc.

    to identify weaknesses and assist in remediating
    Assess new products/services for potential compliance concerns; prepare risk assessments
    Assess new and existing vendors and debt buyers for potential compliance concerns; prepare risk assessments
    Review marketing materials and other external-facing communications for potential compliance issues (as applicable)
    Monitor for emerging risks and industry fines/penalties; conduct assessments as required
    Complete all required compliance training
    Maintain knowledge of, and adhere to, Flagstar's internal compliance policies and procedures
    Maintain Regulatory Compliance department procedures as assigned
    Maintain knowledge of changing consumer compliance regulations
    Ensure compliance with applicable federal, state and local laws and regulations
    Perform other duties and special projects as assigned

    JOB REQUIREMENTS

    Required Qualifications:

    Education level required:
    Undergraduate Degree (4 years or equivalent) in Business Administration, Finance, Accounting, Law, or related equivalent experience.

    Seven years of experience in a financial institution, auditing firm, or consulting firm with a regulatory compliance focus and abilities to exercise independent judgment in decision making and advice.

    Subject matter expertise gained through Regulatory Compliance, Risk, Internal Audit, Legal or equivalent business experience.
    Bank operations experience in applicable mortgage originations, mortgage servicing, consumer lending, community banking, etc.


    Preferred Qualifications:
    ~ CRCM certification preferred.


    Job Competencies:
    Knowledge of consumer protection laws and regulations impacting financial institutions.
    Demonstrated subject matter expertise in the assigned banking processes.
    Advanced PC systems skills including proficiency with Microsoft Word, Excel, PowerPoint and other reporting systems
    Excellent communication skills, including report writing, oral presentations, group facilitation skills, etc.
    Demonstrated conceptual thinking and analytical skills.
    Proven ability to partner effectively across all levels of the organization.
    Ability to manage and execute multiple complex projects within required timelines and expectations.
    Ability to conduct compliance assessments and produce quality results.
    Ability to work independently in a continuously changing environment.
    Inquisitive, resourceful, and able to seek out information and develop sound conclusions and strategies.
    Ability to develop and maintain professional relationships.
    Physical demands (ADA): No unusual physical exertion is involved.

  • NYC Careers

    Compliance Officer

    1 day ago


    NYC Careers Manhattan, United States

    **Compliance Officer**: · - Apply**Compliance Officer**: · - Agency: OFFICE OF THE COMPTROLLER · - Posted on: 05/15/2024- Job type: Full-time · Location · MANHATTAN · - Title Classification: No exam required · Department · Asset Management · - Salary range: $125, $140, The Office ...

  • Kohlberg Kravis Roberts & Co.

    Compliance Officer

    1 week ago


    Kohlberg Kravis Roberts & Co. New York, United States

    **COMPANY OVERVIEW** · KKR & Co. Inc., together with its subsidiaries, is a leading global investment firm that offers alternative asset management and capital markets and insurance solutions. KKR aims to generate attractive investment returns by following a patient and disciplin ...


  • New York State Psychiatry Institute New York, United States

    **Job Title**: Research Compliance Officer · **Grade**: 37 · **Salary**: $167,905 - $190,003 · The Research Foundation for Mental Hygiene is seeking a qualified applicant to fill a full-time Research Compliance Officer position at the New York State Psychiatric Institute. · The R ...


  • Sonata Healthcare New City, United States

    **Sonata Care is one of the top insurance brokerages in the nation**. We are looking for an experienced Insurance Compliance Officer to join our team · We have a 5-star office environment - our company is growing fast, and this is an opportunity for you to come onboard and grow w ...


  • Raisin New York, United States

    Your Responsibilities · As our US Compliance officer, you'll be the lead for compliance in one of our fastest-growing and dynamic teams. You'll lead our independent function in the US and report into our Compliance team based in Head Office, but will work closely with the US exec ...


  • Amalgamated Bank of NY New York, United States

    Amalgamated Bank is seeking a Trust Compliance & Risk Officer to be responsible for the Compliance and Risk Management Program for the Bank's Investment Management Division/Trust Department and compliance with applicable federal/state laws and regulations, contractual obligations ...


  • Sumitomo Mitsui Banking Corporation Jersey City, United States

    SMBC Group is a top-tier global financial group. Headquartered in Tokyo and with a 400-year history, SMBC Group offers a diverse range of financial services, including banking, leasing, securities, credit cards, and consumer finance. The Group has more than 130 offices and 80,000 ...


  • Anchor Health Home Care Brooklyn, United States

    _At Anchor Health Home Care, we deeply appreciate the privilege of being welcomed into the family circle to provide care for our neighbors' beloved family members._ Our dedicated corporate office team at Anchor Health Home Care serves as the central hub for communication among cl ...


  • Barclays New York, United States

    **FinCrime Compliance Officer Legal Rules, Regulations, and Trade Finance Vice President** · **New York, NY** · As a Barclays FinCrime Compliance Officer Legal Rules, Regulations, and Trade Finance Vice President (VP), you will be directly assisting the Americas Head of Financial ...


  • Anchor Health Home Care Brooklyn, United States

    As a **Compliance Officer **you will be responsible to implement compliance policies and procedures throughout our nursing and HR departments to ensure that all processes are in compliance with the DOH regulations. · **Compliance Officer Responsibilities and Requirements**: · - I ...


  • DataAxxis Jersey City, United States

    **Position: Compliance Control Group Officer** · Contract Length: 4-months (military leave) · Pay Rate: 1099/C2C $650- $820 · Location: Hybrid/Manhattan or Jersey City Office · **Company Description**: · We are a global leading full-service investment banking and capital markets ...


  • Barclays New York, United States

    **Financial Crime Compliance Officer Legal Rules and Regulations Vice President** · **New York, NY** · As a Barclays Financial Crime Compliance Officer Legal Rules and Regulations Vice President, you will be directly assisting the Americas Head of Financial Crimes. This is an opp ...


  • Barclays New York, United States

    **VP, Control Room and Research Compliance Officer** · **New York, NY** · Barclays Services Corp · **What will you be doing?** · Barclays Services Corp seeks VP, Control Room and Research Compliance Officer in New York, NY (multiple positions available): · - On behalf of a global ...


  • Santander US New York, United States

    Executive Director, Compliance-Control Room Officer · New York, United States of America · The Santander CIB (US) Control Room administers policies and procedures to prevent or detect insider trading and identify and manage potential transactional conflicts of interest. The ED, C ...


  • NYC Careers Brooklyn, United States

    **Health Care Compliance Officer**: · - Apply**Health Care Compliance Officer**: · - Agency: FIRE DEPARTMENT · - Posted on: 05/08/2024- Job type: Full-time · Location · BROOKLYN · - Title Classification: No exam required · Department · Legal - CDLS · - Salary range: $80, $208,826 ...

  • Crossroads Chemists

    Compliance Officer

    1 week ago


    Crossroads Chemists Edison, United States

    As the Pharmacy Compliance Officer at Crossroads Chemists, you will play a critical role in maintaining compliance with state and federal regulations, as well as internal policies and procedures governing pharmacy operations. You will work closely with pharmacy staff, management, ...

  • New York City, NY

    Compliance Officer

    1 week ago


    New York City, NY Manhattan, United States

    The Office of the New York City Comptroller's Bureau of Asset Management (BAM) supports the Comptroller in his role as investment advisor, custodian, and trustee for each of the five New York City public pension systems. BAM oversees more than $250 billion dollars in assets under ...

  • Bloomberg

    Compliance Officer

    6 days ago


    Bloomberg New York, United States

    Personal Account Dealing and Conflicts of Interest (COI) Analyst - Legal & Compliance. New York, NY - Posted May 3, Requisition No The energy of a newsroom, the pace of a trading floor, the buzz of a recent tech breakthrough; we work h Compliance Officer, Compliance, Officer, Ope ...

  • Deutsche Bank

    Compliance Officer

    6 days ago


    Deutsche Bank New York, United States

    Compliance Officer - Investment Bank Compliance - Origination & Advisory - Capital Markets - Vice President · Job ID:R Full/Part-Time: Full-time Regular/Temporary: Regular Listed: Location: New York ...

  • Spencer Ogden

    Compliance Officer

    6 days ago


    Spencer Ogden New York, United States

    Job Title: Compliance Officer - Private Equity Renewables · Location: New York or Boston · Job Description: · We are seeking a highly motivated and experienced Compliance Officer to join our team and oversee all compliance-related matters within our private equity renewables i ...