US BRANCH COMPLIANCE ANALYST II
Inter · Miami, FL · 1 mo ago
On-siteLegalInternship
Responsibilities
- Executing monitoring, testing, and quality assurance activities across banking areas while maintaining consistent documentation standards.
- Ensuring consumer-facing products, disclosures, and marketing materials are compliant across multiple regulations (e.g., Reg E, Reg CC, UDAAP, etc).
- Supporting consumer complaint handling, escalation, investigation tracking, and trend analysis.
- Overseeing Reg E related error resolution and unauthorized transaction processes for digital accounts, debit cards, credit cards, and other applicable EFT activities.
- Managing examination requests and supporting timely responses.
- Sustaining regulatory examinations and maintaining exam readiness documentation, evidence repositories, and timely responses to regulator requests.
- Identifying systemic issues through monitoring results, complaint trends, and control weaknesses before they result in regulatory issues.
- Maintaining training programs that meet regulatory expectations while addressing evolving business and regulatory risks.
- Affirming accurate issue tracking and remediation evidence via Management Action Plans (MAPs).
- Producing clear, professional documentation in fluent English within a multicultural, cross-border organization.
Requirements
- Bachelor’s degree in Law, Accounting, Finance, Business Administration, Compliance, or a related field.
- 2–4 years of experience in compliance monitoring, quality assurance, consumer compliance, compliance advisory, regulatory risk, internal audit, regulatory exam management, or related second-line compliance functions within a U.S. financial institution.
- Hands-on experience with U.S. consumer regulations, complaint management, product/disclosure review, and regulatory training programs.
- Direct experience supporting regulatory examinations and responding to regulator requests.
- Experience with issue management frameworks and remediation tracking.
- Freshly fluent in English (reading, writing, and speaking).
- Strong ability to draft professional, regulator-ready documentation in English.
- Strong knowledge of Compliance Management Systems and second-line oversight expectations.
- Strong knowledge of U.S. consumer protection regulations, UDAAP standards, including consumer complaint handling and Reg E.
- Experience executing monitoring and testing programs.
- Experience reviewing marketing materials, disclosures, and product documentation.
- Ability to develop and deliver compliance training content.
- Strong analytical, documentation, reporting, presentation, writing, and communication skills.
- High attention to detail and ability to manage multiple priorities independently.
- Ability to engage confidently with auditors, regulators, business partners, and senior management.
- Proficiency in Microsoft Word, Excel, Outlook, and PowerPoint.
Qualifications
- Must be available to work on-site in Miami, FL.
Preferred Qualifications
- Compliance certifications such as CRCM and CAMS preferred.
- Prior experience in a branch, foreign banking organization, or international bank environment is a plus.
- Fluent in Portuguese proficiency (reading, writing, and speaking) – Preferred.
Benefits
- Medical, Dental, and Vision Insurance (100% employer-paid coverage available).
- Company-paid Life Insurance.
- Company-paid Short-Term and Long-Term Disability coverage.
- 22 days of paid vacation annually.
- 56 hours of paid sick leave annually.
- 8 hours of paid personal time annually.
- 401(k) retirement plan with up to 5% employer match.
- Annual Short-Term Incentive (STI) bonus based on individual and company performance.