Manager, Risk Consulting - Toronto, Canada - RSM US LLP
Description
We are the leading provider of professional services to the middle market globally, our purpose is to instill confidence in a world of change, empowering our clients and people to realize their full potential.
Our exceptional people are the key to our unrivaled, inclusive culture and talent experience and our ability to be compelling to our clients.
You'll find an environment that inspires and empowers you to thrive both personally and professionally. There's no one like you and that's why there's nowhere like RSM.
RSM's Regulatory Compliance group is currently seeking a strong regulatory compliance resource to join our fast-growing Risk Advisory Services practice at the Manager level.
The Risk Advisory Services practice assists clients in managing operational, financial, compliance and technology risk, as well as designing and implementing process improvements that can lead to increased value, revenue, or cost containment.
This position will lead and deliver regulatory compliance internal audits, assessments, model validations and other services at client locations within financial institutions.
Position Description- Develop strong relationships with existing clients and prospective clients within banking and financial services industries to enable effective sales- Manage and deliver assessments and other services covering regulatory compliance for banks, credit unions, broker dealers and other financial institutions- Manage engagements (including planning, execution, report preparation and final wrap up), conducting exit meetings, and assisting in preparation of reporting and related risk assessment completion- Communicate with clients on the review process, conclusions and potential improvements to the process.
Experience Required- Application of regulatory compliance expertise in a consulting, financial institution or regulatory environment- Development, implementation and/or evaluation of policies, procedures and processes to meet regulatory needs- Supervisory experience in a financial institution
Basic Qualifications- Bachelor's degree in accounting, finance or related business field and or a law degree- Eight+ years of regulatory compliance experience in financial institutions- Experience with a national or regional public accounting firm, or at a financial institution as a regulatory compliance officer or internal auditor, or with a regulatory agency- Regulatory compliance internal audit experience a plus- Previous project management and staff management experience- Exemplary client service skills- Ability to travel locally and regionally in the Midwest, as well as other regions as requested
Preferred Qualifications- Exceptional verbal/written communication, leadership and analytical skills needed to manage project teams, review workpapers, prepare client reports, and present results to clients in a timely manner- Strong organizational and time management skills with ability to manage multiple priorities and projects- CRCM, CAMS, CCBCO, AMLP or other regulatory compliance certification preferred- CIA, CPA certifications a plus- Understanding of regulations and/or banking regulations (e.g., TILA, RESPA, HMDA, FCRA, FACT, fair lending, CRA, Reg. D, Reg. E, Reg. DD, Reg. EE, Reg. O, GLBA, privacy, UDAAP, etc.)- Understanding of FINRA and SEC rules
At RSM, we offer a competitive benefits and compensation package for all our people.
We support and inspire you to prioritize your wellbeing by delivering personalized, holistic programming for your physical, emotional, financial and community wellbeing.
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