Compliance Advisor Manager
Overview
Corporate Compliance is seeking a Manager to support Capital One’s Finance group. Finance is responsible for executing the overall financial management of Capital One, including Corporate Treasury operations, capital analysis and reporting, balance sheet management, corporate development, tax filing and strategy, line of business and top of house financial planning and management reporting, accounting and external reporting, and investor relations.
The Compliance Manager will support management and oversight of a Compliance Management Program (“CMP”) supporting critical Finance areas that pose unique regulatory risk (e.g., Regulation W and Regulation K), taking into account the OCC’s Heightened Standards guidelines. The successful candidate will be self-starting, entrepreneurial, able to develop strong relationships, and integrate themselves seamlessly into business routines. The Manager will leverage strong analytical thinking and regulatory knowledge to ensure appropriate, risk-based application of the CMP to Finance. Additionally, the Manager will leverage strong leadership and influencing skills to engage the business and line of business risk function to maintain a CMP to fully and efficiently identify, assess and mitigate compliance risk. Additional duties include administering unique processes related to managing a federated Compliance model across multiple independent risk functions (e.g., Liquidity, Market, and Capital Risk Oversight, etc.) that support Finance.
Basic Qualifications
- Bachelor’s Degree or military experience
- At least 5 years of experience in compliance, risk, legal, regulatory, or audit within the financial service industries
- At least 5 years of experience with US Banking laws rules and regulations
- At least 5 years of experience translating regulatory requirements into operational processes and business solutions
Preferred Qualifications
- Master’s Degree or Juris Doctor
- Experience working at or with large banks and regulatory agencies
- Familiarity and working knowledge of securities laws
- Excellent communication and stakeholder management skills, with the ability to effectively challenge, influence outcomes and drive execution