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Catena Trust Bank

COMPLIANCE PROGRAM MANAGER

УдалённоUnited States только
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Коротко по делу

Compliance Program Manager for a New York–based trust bank. Requires 5+ years in bank or trust-company compliance with fiduciary/trust experience (12 C.F.R. Part 9) and strong CMS/second-line oversight skills. Must be experienced in third-party risk management, affiliate-transaction controls and Regulation W (Sections 23A/23B).

Ключевые навыки

Trust & Fiduciary ComplianceThird-Party Risk ManagementAffiliate Transactions (Regulation W)

Обязательные навыки

Compliance Management System (CMS)Fiduciary complianceThird-party risk management (TPRM)Affiliate transactionsRegulation W (Sections 23A/23B)12 C.F.R. Part 9Risk assessmentMonitoring and testingIssue managementPolicy and procedure draftingPrivacyUDAPBoard materials preparation

Желательные навыки

TPRM aligned to OCC Bulletin 2023-17Working knowledge of Regulation W (Sections 23A/23B)Experience with digital assets, stablecoins, or fintech custody and paymentsExperience implementing systems that leverage AI and MLExperience through a de novo charter or with OCC supervisionCRCM or comparable certification

Чем предстоит заниматься

  • Help stand up and run the Trust Bank’s Compliance Management System under the Chief Compliance Officer.
  • Lead fiduciary compliance across the Trust Bank’s custody, investment management, and trust activities.
  • Operate the third-party risk management program across the vendor lifecycle, including oversight of affiliate-provided services.
  • Administer affiliate transactions across intercompany activity — governed by CTB’s Affiliate Transactions and Third-Party Risk Management policies, supported by written market-terms analysis, and subject to Sections 23A and 23B of the Federal Reserve Act and Regulation W.
  • Oversee any other non-financial crimes related Compliance obligations of the Trust Bank, including Privacy, UDAP, and others.
  • Track regulatory developments and help deliver the compliance training program.
  • Prepare committee and Board materials and support examinations and audits.

Что требуется

  • 5+ years in compliance at a bank or trust company, ideally with some fiduciary and trust compliance experience under 12 C.F.R. Part 9 and/or general non-financial crimes compliance.
  • Strong command of a bank Compliance Management System and second-line oversight — risk assessment, monitoring and testing, issue management, and reporting.
  • Understanding of conflicts-of-interest and self-dealing controls in a fiduciary context.
  • Exceptional writing, with comfort drafting policies, procedures, and Board materials.
  • Sound judgment and initiative in an ambiguous, build-from-scratch environment.
  • Preferred: Hands-on TPRM program experience aligned to OCC Bulletin 2023-17, including vendor and affiliate oversight.
  • Preferred: Working knowledge of Regulation W (Sections 23A/23B) and affiliate-transaction controls.
  • Preferred: Exposure to digital assets, stablecoins, or fintech custody and payments.
  • Preferred: Experience related to implementing systems that leverage AI and ML to increase quality and productivity within the function.
  • Preferred: Experience through a de novo charter or with OCC supervision; CRCM or comparable certification.

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