Compliance & Risk Management Job Description
Compliance & Risk Management Duties & Responsibilities
To write an effective compliance & risk management job description, begin by listing detailed duties, responsibilities and expectations. We have included compliance & risk management job description templates that you can modify and use.
Sample responsibilities for this position include:
Compliance & Risk Management Qualifications
Qualifications for a job description may include education, certification, and experience.
Licensing or Certifications for Compliance & Risk Management
List any licenses or certifications required by the position: CISA, AML, CRISC, GCIA, GCED, ISSEP, CISSP, CRCM, CPA, CIA
Education for Compliance & Risk Management
Typically a job would require a certain level of education.
Employers hiring for the compliance & risk management job most commonly would prefer for their future employee to have a relevant degree such as Bachelor's and Master's Degree in Finance, Financial Services, Accounting, Legal, Economics, MBA, Information Systems, Math, Business/Administration, Business
Skills for Compliance & Risk Management
Desired skills for compliance & risk management include:
Desired experience for compliance & risk management includes:
Compliance & Risk Management Examples
Compliance & Risk Management Job Description
- Advise on compliance related issues
- Liaise with Regional Compliance, FSS and KoFIA
- Design and deliver compliance training sessions to employees
- Update and maintain compliance policies
- Conduct compliance monitoring
- Generate reports requested by Group/Regional Compliance
- Understand Claims technology and its relationship to downstream systems and assesses proposed process/technology changes for understanding of intended and unintended consequences so that all risks are addressed
- Partner with COE, Regional Leads, Sub-Region Leads, and Micro-Region Leads to support internal auditing program at the site level to identify compliance issues
- Provide oversight of business practices
- Direct Medical Center-wide performance improvement program
- Ability to effectively communicate recommendations
- Self-starter with the ability to accomplish tasks on time with minimal supervision
- Degree in Statistics, Mathematics, Computer Science, or Decision Sciences
- Proven record to contribute as a strong team player in a fast-paced, deadline-driven, diverse environment while maintaining attention to detail and maintaining quality work
- Knowledgeable about model risk management and associated regulatory requirements such as OCC Bulletin 2011-12
- Track record of technical model development, model management, and/or model oversight
Compliance & Risk Management Job Description
- Oversee the development and publication of existing and new Medicare and Medicaid metrics for compliance dashboards and scorecards
- Collaborate with ORM, business owners, and Regulatory Compliance to refine cycle times as required to meet business needs
- Provide administrative support to the Company’s enterprise risk management, regulation and compliance function which include organizing & coordinating meetings, dealing with all queries, preparing and managing documents and updating Company website when required
- Excel workbook creation and some analysis, and
- A strong background within the IT Industry, preferably in Investment Banking IT or within a highly regulated environment
- A proven ability to effectively assess and mitigate enterprise risk
- Experience in financial planning and tracking for programs / portfolio’s up to €50m
- Experience negotiating with external technology vendor contracts
- Demonstrable experience of successfully managing / partnering with offshore based development teams
- Experience in matrix management and influencing others
- Strong partnering skills – need to work collaboratively with individuals in Wealth Management, Corporate Risk Management, Legal, Audit Services, Operations and Technology and various other partners across the organization
- Experience of working in an Investment Bank or highly regulated environment (beneficial)
- IT development experience, including a full understanding of the appropriate SDLC models
- Experience of financial planning and tracking for programs of + €40M
- An ability to lead Steering and Operating Committee Level meetings
- Spent a significant amount of time in a Senior leadership/management role with material profit and loss accountability
Compliance & Risk Management Job Description
- Works with the Senior Vice President and colleagues within University Ethics and Compliance to nurture a culture focused on identifying and mitigating risks to the University’s ability to achieve its strategic and operational objectives
- Manages and monitors the activities of the institutional compliance officers to ensure their alignment with UEC and University strategic and operational objectives
- Maintains working knowledge and understanding of current University policies and compliance requirements in areas of direct responsibility, including intercollegiate athletics, sponsored research, Title IX, healthcare, and other areas
- Lead the implementation and further development of processes, systems, and tools supporting integrated Risk Management and the Integrated Quality Plan (IQP)
- Contribute to the development of, and oversee the maintenance of, IT systems and tools that support risk management and the IQP
- Provide consistency and visibility across supply chain and non-supply chain sites
- Independently work with all levels of management including Call Center Sr
- Provide timely feedback or action plan to appropriate management by using the Voice Analytics tool
- Ensure full and clear documentation of all data and processes
- Lead various team projects and capitalize on operational improvements and /or process improvements identified
- Ability to build, maintain and leverage working relationships, and to understand business imperatives as they affect those relationships
- Ability to manage, influence and engage across a broad range of internal and external stakeholders
- Strong interpersonal skills, situational awareness and emotional intelligence with an ability to appropriately adapt their personal and leadership styles
- Ability to engage and lead project teams within a matrix/scalable operating model working in collaboration with business partnering teams and other key stakeholders
- Solutions and learning orientation
- General legal knowledge on Korean Laws and Foreign Laws
Compliance & Risk Management Job Description
- To develop the Enterprise Risk Management (ERM) Framework, including Policies and Procedures
- Annual compliance planning process
- Makes recommendations and participates in the development of research administration policies and procedures and monitors whether policies are effectively implemented
- Assist Company Secretary (CFO) and Legal Counsel in ensuring reporting requirements to ultimate holding company are fulfilled
- Assist the Company administratively in meetings of company and other committees and panels as required including managing meeting documents and preparing minutes
- Support and be involved in Business Continuity Planning
- Support other company functions as assigned
- SVP, Director of Enterprise Program Services
- SVP, Director for EFCC Audit Readiness and Issue Management
- SVP, Director of Strategic Assessments
- In depth knowledge of fiduciary concepts/principals/regulations, acquired through formal education and work experience is required
- Experience of at least 2 years with financial products
- Experience in foreign companies preferred
- Legal back ground is preferred
- Experience in the process of review of English contracts
- Communication skill (vertical and horizontal, internal and external)
Compliance & Risk Management Job Description
- Participate and/or lead leadership discussions about areas of focus, with a special eye to risk and compliance
- Act as point of contract for area of responsibility for other risk areas across the firm (Risk and Control Services (RCS), Advice and Wealth Management Risk, Corporate Compliance)
- Keep abreast of upcoming, new and revised rules, regulations and directives applicable to the CGM business, and facilitate changes as required
- Expense reporting/processing
- Power Point presentation creation
- Provides regular reporting on risk assessment developments, engagement planning and status, engagement outcomes, tracking of open issues, themes
- Trains staff and partners on skills that support key capabilities such as risk assessment, substantive and control testing, control design best practices, professional/technical writing, influencing
- Works with business unit leaders to create and implement mitigation plans to manage identified risks, facilitating collaboration among unit leaders to mitigate risks which originate in one department but impact multiple units
- Expand the concepts of risk management and IQP to all areas of R&D and phases of product lifecycle
- Ensure consistent application of the integrated Risk Management framework across therapeutic areas
- English communication skill – strong conversational level
- PowerPoint skill to make good presentation materials
- College graduate, major in Law or Business Administration or Economics
- 5 year experience of compliance, legal, strategic planning in financial industry, preferably in Asset Management or Securities Industry
- Driven Compliance improvement programs
- Knowledgeable of the regulatory bodies (SEC/AICPA/PCAOB) and their role in the accounting profession