Compliance Examiner Resume Samples

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DS
D Sawayn
Dion
Sawayn
37642 Heller Station
Detroit
MI
+1 (555) 975 6830
37642 Heller Station
Detroit
MI
Phone
p +1 (555) 975 6830
Experience Experience
Houston, TX
Compliance Examiner
Houston, TX
Grimes-Heller
Houston, TX
Compliance Examiner
  • Provide comprehensive written and verbal reports to management, including but not limited to, surveillance, investigations, and sales offices inspections
  • Assist Chief Compliance Officer in reviewing, developing and administering compliance policies and procedures including transactional and forensic testing
  • Drafts and distributes examination related communications to internal customers, external customers, and management
  • Adheres to generally accepted organizational examination workflows
  • Manages examination related travel expenses
  • Enforce the Electronic Communications policy by conducting ongoing and targeted reviews of email correspondence and other postings to/from employees of the firm
  • Travel to sales offices and conduct annual and special compliance inspections by reviewing the books and records, interviewing personnel, and observing day-to-day operations in the office
Los Angeles, CA
Compliance Examiner Professional
Los Angeles, CA
O'Connell Inc
Los Angeles, CA
Compliance Examiner Professional
  • Manages direction for development design specifications for compliance issues
  • Provides compliance reviews and direction for new and expanding products
  • Performs other related duties as assigned
  • Conducts compliance assessments and provides direction on any deficiencies resulting from scheduled product reviews
  • Assists in comment letters responding to regulatory issues
  • Participates in development of compliance sessions/presentations
  • Coordinates development of customer communications related to compliance issues
present
Los Angeles, CA
FFS Senior Regional Compliance Examiner
Los Angeles, CA
Wilkinson, Volkman and Bode
present
Los Angeles, CA
FFS Senior Regional Compliance Examiner
present
  • Manage the assigned inspection schedule, make arrangements and travel independently
  • Identify operational and compliance risks and recommend improvements
  • Review FFS registered branches and develop inspection schedule and assignments
  • Manage multiple inspections and projects simultaneously
  • Perform other duties as assigned
  • Maintain cooperative relationships with supervising principals, FFS compliance examiners and other Farmers audit teams and promote collaboration in the inspection efforts
  • Manages assigned personnel
Education Education
Bachelor’s Degree in Finance
Bachelor’s Degree in Finance
Harvard University
Bachelor’s Degree in Finance
Skills Skills
  • Strong presentation skills
  • Ability to research and manage multiple projects and deadlines simultaneously
  • Thorough knowledge of SEC/FINRA/NYSE rules and regulations as well industry procedures
  • Strong understanding of Stifel policy and procedures
  • Demonstrated skills in negotiating, conflict management, and decision making; with the ability to deal with all levels of branch and firm associates
  • Ability to identify and escalate disciplinary issues
  • Thorough knowledge of U.S. Bancorp operations, policies and procedures
  • Thorough knowledge of government and regulatory laws and regulations
  • Attend to detail while maintaining a big picture orientation
  • Time Management – The ability to prioritize and manage one’s own time
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3 Compliance Examiner resume templates

1

Compliance Examiner, W / Travel Resume Examples & Samples

  • Conducts and analyzes routine compliance reviews to identify irregularities and ensure compliance with organizational and regulatory agency rules and regulations
  • Evaluates processes and procedures for compliance
  • Assists in alerting management to current regulatory issues
  • Researches, interprets and translates regulatory rules and regulations for staff
  • Assists in delivering staff training on compliance policies, rules and regulations
  • Coordinates internal compliance examinations and regulatory agency examinations
  • Assists in the compliance review of sales and marketing literature and customer disclosures required by regulatory agencies
  • Advises compliance management of issues that involve possible rule violations and potential liability
  • Participates in addressing sensitive compliance issues with management in assigned functional area
  • Participates in corporate policy discussions related to compliance
  • Develops documentation related to compliance issues to enhance corporate policies
  • Assists in preparing and delivering written and oral presentations to management
  • Concepts, practices and procedures of securities industry and/or banking compliance reviews
  • Rules and regulations of the Securities Exchange Commission (SEC); Financial Industry Regulatory Authority (FINRA); and state securities regulatory agencies; and/or Federal Deposit Insurance Corporation (FDIC); Office of the Comptroller of the Currency (OCC); Federal Financial Institutions Examination Council (FFIEC); Office of Thrift Supervision (OTS); Federal Reserve System; and state banking regulatory agencies
  • Principles of banking and finance and securities industry operations
  • Conducting and analyzing compliance reviews and identifying irregularities
  • Developing compliance policies and procedures
  • Preparing and delivering written and oral presentations
  • Use independent judgment on a variety of compliance issues
  • Provide a high level of customer service
  • Associate's Degree (AA) or equivalent in a related discipline and two (2) years of compliance experience or three (3) years of financial services experience
2

Senior pcg Compliance Examiner Resume Examples & Samples

  • Bachelor's degree in business, finance or related field required
  • Minimum 4 years Securities industry experience or 4 years in audit or risk examination
  • Series 7, 63/65 or 66, 9/10 required, and ability to obtain state insurance license within 1 year
  • Demonstrated skills in organization, strong attention to detail, and the ability to meet deadlines
  • Strong understanding of Stifel policy and procedures
  • Communicate complex compliance issues, policies and procedures, in a credible and convincing manner. Also able to identify, correct and/or escalate disciplinary issues
  • Overnight travel required 25% - 35% or 12-14 weeks per year to branch locations as needed
3

Compliance Examiner Ii W / Travel Resume Examples & Samples

  • Conducts and analyzes more complex compliance reviews to identify irregularities and ensure compliance with organizational and regulatory agency rules and regulations
  • Alerts middle management to current regulatory issues
  • Researches, interprets and translates regulatory rules and regulations for staff and middle management
  • Monitors exception and other internal reports for employee adherence with rules and regulations
  • Trains staff on internal compliance policies, rules and regulations
  • Monitors and/or prepares filings and maintains compliance database
  • Coordinates internal examinations and regulatory agency inspections
  • Assists in the review of sales and marketing literature and customer disclosures required by regulatory agencies for compliance
  • Advises senior compliance management on issues that involve possible rule violations and potential liability
  • Prepares and delivers written and oral presentations to middle management
  • May coordinate and/or oversee responses to regulatory agency inquiries
  • Rules and regulations of the Securities Exchange Commission (SEC); Financial Industry Regulatory Authority (FINRA) ;and state securities regulatory agencies; and/or Federal Deposit Insurance Corporation (FDIC); Office of the Comptroller of the Currency (OCC); Federal Financial Institutions Examination Council (FFIEC); Office of Thrift Supervision (OTS); Federal Reserve System; and state banking regulatory agencies
  • Fundamental investment concepts, practices and procedures used in the securities industry
  • Conducting and analyzing compliance reviews and identifying compliance irregularities
  • Monitoring employee activities for adherence to organizational policies and procedures
  • Gather information, identify linkages and trends and apply findings to assignments
  • Interpret and apply securities and/or banking regulations and identify and recommend compliance changes as appropriate
  • Work under pressure on multiple tasks concurrently and meet deadlines in a fast-paced work environment with frequent interruptions and changing priorities
  • Bachelor's degree (B.A) and two (2) years of experience in compliance in the financial services industry or banking preferred
4

Compliance Examiner Resume Examples & Samples

  • 3-4 years Securities industry experience or 2-3 years in Audit or Risk Examination
  • Thorough knowledge of SEC/FINRA/NYSE rules and regulations as well industry procedures
  • Ability to identify and escalate disciplinary issues
  • Critical Thinking – Using logic and reasoning to identify the strengths and weaknesses of alternative solutions, conclusions, or approaches to problems
  • General knowledge of business and management principles involved in strategic planning, resource allocation, leadership, production methods, and coordination of people and resources
  • Monitoring/Assessing – performance of individuals or groups to make improvements or take corrective action
5

Compliance Examiner Resume Examples & Samples

  • Scheduling of assigned examinations
  • Performs data collection in compliance with examination program requirements
  • Analyzes collected data to identify irregularities
  • Conducts onsite examinations to evaluate compliance with written policies and procedures
  • Alerts appropriate parties of identified issues, escalates items as appropriate
  • Drafts and distributes examination related communications to internal customers, external customers, and management
  • Adheres to generally accepted organizational examination workflows
  • Manages examination related travel expenses
  • Assist with training staff on compliance processes and procedures
  • Provides for maintenance of proper books and records relating to areas of assigned responsibilities
  • Reviews exception and other internal reports in compliance with written policies and procedures
  • Recommends process improvements to enhance the effectiveness and efficiency of firm processes
  • Financial markets and products
  • Investment concepts, practices and procedures used in the securities industry
  • Concepts, practices and procedures of auditing brokerage and investment advisory firms
  • Rules and regulations of the Securities and Exchange Commission (SEC); Financial Industry Regulatory Authority (FINRA); state securities regulatory agencies; Federal Deposit Insurance Corporation (FDIC); Office of the Comptroller of the Currency (OCC); Federal Financial Institutions Examination Council (FFIEC); Office of Thrift Supervision (OTS); Federal Reserve System; and state banking regulatory agencies
  • Planning, organizing and conducting audits
  • Reviewing activities for adherence to organizational policies and procedures
  • Explaining policies and regulations to others
  • Addressing sensitive issues with others
  • Preparing and delivering written communication
  • Gather information, identify potential issues, and use independent judgment on a variety of compliance issues
  • Interpret and apply organizational policies and procedures, as well as securities and/or banking regulations
  • Work under pressure to organize, manage and track multiple detailed tasks and assignments with frequently changing priorities in a fast-paced work environment with frequent interruptions
  • Use appropriate interpersonal styles and communicate effectively, both orally and writing, with all organizational levels
  • Meet tight deadlines
  • Bachelor’s Degree and a minimum of three (3) years of financial services experience
6

Compliance Examiner Resume Examples & Samples

  • Coordinates scheduling of assigned examinations
  • Performs collection and validation of data in compliance with examination program requirements
  • Conducts more complex onsite examinations to evaluate compliance with written policies and procedures
  • Adheres and recommends enhancements to generally accepted organizational examination workflows
  • Trains staff on compliance processes and procedures
  • Reviews more complex exception and other internal reports in compliance with written policies and procedures
  • May facilitate responses to regulatory agency inquiries
  • Advanced investment concepts, practices and procedures used in the securities industry
  • Advanced Concepts, practices and procedures of auditing brokerage and investment advisory firms
  • Bachelor’s Degree and a minimum of eight (8) years of compliance experience, with preference given to experience conducting brokerage, investment advisory, and/or banking compliance examinations
7

Compliance Examiner Branch Office Inspections Resume Examples & Samples

  • Conduct Branch Office and Office of Supervisory Jurisdiction FINRA required inspections, including Ameriprise Advisor Center, Centralized Supervision Unit and Columbia Asset Management locations
  • Conduct initial interviews and exit interviews with Registered Principals, advisors, and staff
  • Analyze prepared information and complete independent research to identify potentially problematic behavior, violations, red flags, trends and potential areas of risk
  • Review and report on the effectiveness of field compliance supervision, including identification of potential advisor sales practice violations
  • Write, deliver, and follow up with RPs on Commitment to Action plans for the resolution of identified deficiencies
  • Maintain current knowledge of industry and firm practices, developments and risks
  • Partner with leadership and reach out to other teams (within and outside of compliance) to identify/understand risks, share results, escalate issues, and clarify policies and procedures
  • Identify and escalate to leadership new risk trends observed while in the field
  • Identify process and procedure improvement opportunities and work collaboratively with colleagues/leadership to implement effective solutions
  • Communicate results to all levels of field leadership. Discuss results with all levels of field leadership and work collaboratively to resolve appeals from the field
  • Work with other examiners as needed to ensure consistency of process
  • Educate field members about hot regulatory topics, firm trends, and best practices
  • Participate in project, initiatives, etc. as requested
  • Series 7 required
  • Experience in an audit function, familiarity with audit methodologies
8

Compliance Examiner, Tfce Options Resume Examples & Samples

  • Reviews trading activity, systems and supervisory policies and procedures to determine compliance with federal, FINRA and other SRO’s rules and regulations
  • Utilizes computer resources and software applications for data analysis pursuant to review procedures.Interfaces with member firm personnel, peers, management and others and provides excellent internal/external assistance in specialized area of regulatory responsibility
  • 46 - A minimum of five years of directly related experience. Substantial knowledge of relevant rules and regulations enforced by FINRA. Substantial knowledge of securities markets, member firm operations, books and records. Ability to initiate and complete quality analysis and reporting of member firms options activity. Competence using a desktop computer with the full suite of office software applications
9

Compliance Examiner Resume Examples & Samples

  • Creates electronic work papers to evidence scope of examination and the accuracy of findings
  • Utilizes computer resources and software applications for data analysis pursuant to review procedures
  • Excellent verbal and written communication skills in order to present examination or investigative findings to management and other relevant parties
10

Compliance Examiner, Tfce Equities Resume Examples & Samples

  • Compiles and organizes information from a variety of sources to be used in the development of examinations or investigations of potential egregious activity
  • Develops a thorough understanding of the examination and investigative techniques utilized in the respective area of primary responsibility and relevant rules and regulations enforced by FINRA
  • 45 - A minimum of three years of directly related experience. Substantial knowledge of relevant rules and regulations enforced by FINRA. Substantial knowledge of securities markets, member firm operations, books and records. Ability to communicate efficiently with corresponding parties. Ability to initiate and complete quality analysis and reporting of member firms equities activity. Competence using a desktop computer with the full suite of office software applications
11

Compliance Examiner Prf Resume Examples & Samples

  • Performs on-site examinations or quality assurance reviews of these examinations
  • Evaluates financial institution and mortgage banking activities to assess/monitor compliance with policies and procedures as well as applicable federal and state laws and regulations
  • Meets with financial institution management to discuss findings
  • Generates reporting, which identifies and addresses areas of significant risk and evaluates overall effectiveness of operations
  • May also review such activities concurrently to assure quality, consistent application and performance
  • Works closely with various groups within the organization and external customer to address routine matters
  • 4 plus years of related experience
  • College Degree or equivalent work experience
  • Position requires approximately 50% travel (domestic)
  • Ability and desire to learn
  • Certification in risk management
  • Mortgage banking or general audit experience
12

Compliance Examiner Mgr Resume Examples & Samples

  • Selection of counterparties for review based upon a risk-based annual planning process for planned reviews, and a referral process for Ad Hoc reviews from business units due to performance and/or fraud concerns
  • Allocation of appropriate resources for confirmed reviews based upon scope of review
  • Oversight of Planning, execution, and reporting of reviews in accordance with CORE policies and procedures, including second-level review of workpapers and reports
  • Tracking, review, and validation of remediation of findings from prior reviews
  • Escalation of issues pursuant to CORE procedures
  • Maintenance of CORE policies, procedures, and assessment framework utilized in counterparty reviews
  • Maintenance of Areas of Focus and Audit Program objectives through active involvement in CORE’s Centers of Excellence, frequent communication with business unit partners, monitoring emerging risks and regulatory/Freddie Mac Single Family Seller/Servicer Guide changes; includes interaction with management from Legal, Compliance, Single-Family, and Enterprise Risk Management
  • 8 plus years of relevant experience in mortgage operations
  • Bachelor’s degree or equivalent experience
  • Two years mortgage operation management experience
  • Auditing experience preferred
13

Compliance Examiner Resume Examples & Samples

  • Review marketing materials and communications with customers (including electronic communications) for compliance with applicable rules. File required marketing materials with the FINRA
  • Assist Chief Compliance Officer with updating Form ADV, Parts 1 and 2, and other regulatory filings, including Section 13. Assist Chief Compliance Officer with regulatory filings
  • Assist Chief Compliance Officer in reviewing, developing and administering compliance policies and procedures including transactional and forensic testing
  • Assist Chief Compliance Officer with conduct and documentation of the Annual Compliance Review
  • Analyze and prepare responses to compliance inquiries from prospects, clients, and regulators
  • Monitor best execution and directed brokerage. Monitor employee trading for compliance with the Code of Ethics. Administer electronic employee trading pre-clearance system
  • Participate in other projects, as assigned
  • Minimum of three years’ experience involving compliance for registered investment advisers and registered investment companies
  • Series 7, 24 and 66 (or 63 and 65) registrations required or must be promptly obtained
  • Understanding of federal and state regulations applicable to investment advisers
  • Understanding of investment adviser products and operations
  • Strong conceptual and critical thinking skills
  • Ability to accurately and concisely summarize complex information
  • Ability to cooperate in a team environment
14

Compliance Examiner Resume Examples & Samples

  • Bachelor's degree, or equivalent work experience
  • Three to five years of experience in regulatory compliance activities
  • Series 7 License
  • Series 24 License or the ability to pass the Series 24 exam within the first 90 days of employment
  • Thorough knowledge of government and regulatory laws and regulations
  • Thorough knowledge of U.S. Bancorp operations, policies and procedures
  • Ability to research and manage multiple projects and deadlines simultaneously
15

Compliance Examiner Professional Resume Examples & Samples

  • Monitors and communicates regulatory changes that impact products and services to internal and external customers
  • Conducts compliance assessments and provides direction on any deficiencies resulting from scheduled product reviews
  • Manages direction for development design specifications for compliance issues
  • Provides compliance reviews and direction for new and expanding products
  • Participates in development of compliance sessions/presentations
  • Participates in internal Education sessions promoting compliance awareness
  • Provides updates for monthly internal and external compliance reports
  • Meets with application product compliance liaisons on a regular basis for status updates on compliance issues
  • Interfaces with legal counsel and federal, state, and local agencies, as needed to resolve regulatory issues
  • Participates in compliance core group committee as needed
  • Participates in annual IRS and year-end processing modification project
  • Monitors and ensures timeline check-points are met for compliance projects
  • Responds to customer-specific questions
  • Coordinates development of customer communications related to compliance issues
  • Assists in comment letters responding to regulatory issues
  • Participates with and/or leads customer focus and advisory groups
  • Directs and approves internal and customer communications covering compliance issues (bulletins, position statements, monthly reports, etc.)
  • Communicates ideas both verbally and in written form in a clear, concise, and professional manner including presentations to employees and clients at all levels
  • Extensive knowledge of banking regulations
  • Ability to understand technical documents and legal or regulatory reference materials
  • Ability to understand and apply learned concepts
  • Demonstrated ability to plan and complete work within tight time limitations
  • Ability to apply creative problem solving techniques and tools to compliance issues
  • Ability to follow and conduct an audit programSearch Jobs US
16

FFS Senior Regional Compliance Examiner Resume Examples & Samples

  • Review and oversight of activities within the registered OSJ locations
  • Manages assigned personnel
  • Review FFS registered branches and develop inspection schedule and assignments
  • Oversee the inspection progress and completion of inspections conducted by FFS Compliance Examiners and Supervising Principals
  • Review and analyze inspection summary reports for compliance and supervisory issues
  • Monitor the supervision and controls of branch operations consistent with regulatory and firm requirements
  • Identify gaps and recommend enhancements in the firm's inspection program and training needs
  • Maintain cooperative relationships with supervising principals, FFS compliance examiners and other Farmers audit teams and promote collaboration in the inspection efforts
  • Conduct retail branch office inspections
  • Manage the assigned inspection schedule, make arrangements and travel independently
  • Select test samples of documents/cases for review
  • Tests, assess and confirm policies/procedures
  • Interview registered individuals and other associated support staff
  • Document and report on the adequacy and effectiveness of the control environment in the branch location
  • Identify operational and compliance risks and recommend improvements
  • Monitor and ensure agreed actions are implemented
  • Conduct meetings with the registered individuals to discuss preliminary findings and obtain formal responses to exam items
  • Manage multiple inspections and projects simultaneously
  • General Compliance Activities Participate in special investigations and conduct
  • Needs Based and/or For Cause audits as directed
  • Research and analyze federal and state (FINRA, SEC, MSRB, State Securities and Dept. of Insurance) level regulations and when applicable, apply to case subject to review
  • Serve as Firm designated Investment Company Products Limited Principal and Municipal Fund Securities Principal
17

Compliance Examiner Senior Resume Examples & Samples

  • Evaluates financial institutions and mortgage banking activities to assess/monitor compliance with Freddie Mac guidance, as well as applicable federal and state laws and regulations
  • Meets with financial institution management to obtain information to assess the counterparty’s overall organization, processes, and control environment
  • Planning, execution, and reporting of reviews in accordance with CORE policies and procedures, including first-level review of workpapers and reports
  • Works closely with various groups within the organization and external customers to address routine matters
  • 5-8 plus years of relevant experience in mortgage operations
  • Two years mortgage operations experience
  • Ability to travel 50% of the time (domestic)
  • Excellent communication skills (both written and verbal), including a professional writing sample
  • Auditing experience
18

Compliance Examiner Prf Resume Examples & Samples

  • Performs on-site examinations and quality assurance reviews of these examinations
  • Evaluates financial institution and mortgage banking activities to assess/monitor compliance with policies and procedures, as well as applicable federal and state laws and regulations
  • May also review such activities concurrently to assure quality, consistent application, and performance
  • Minimum 4 years of related experience
  • An on-site writing sample will be requested during the interview process
  • Ability and desire to learn,
  • Public Speaking and Interviewing Skills,
  • Attention to detail, and ability to comprehend mortgage banking subject matter in real time
  • Certification in risk management and/or CIA, CFE, CFSA, CISA
  • Prior experience in mortgage banking or general audit/risk management experience
19

Compliance Examiner Mid Career Cg Resume Examples & Samples

  • Knowledge of consumer protection, fair-lending, civil rights laws and regulations, Community Reinvestment Act and related laws and regulations to determine the extent of banks compliance
  • Ability to use knowledge of banking operations, accounting and compliance examination policies and practices to detect patterns or practices of discriminatory lending practices
  • Ability to communicate in writing to craft reports of examination documenting summary of findings and the bank's responses
  • Ability to make oral presentations required to meet with bank officials and discuss the scope of the examination, findings and recommendations for corrective action
20

Compliance Examiner Resume Examples & Samples

  • Acquire and maintain the core skills and knowledge of relevant rules and regulations
  • Perform daily surveillance of securities transactions received from sales offices
  • Review trade reports from various sources for suitability and/or regulatory
  • Travel to sales offices and conduct annual and special compliance inspections by reviewing the books and records, interviewing personnel, and observing day-to-day operations in the office
  • Handle customer complaint responses and investigations
  • Conduct special reviews and investigations of alleged violations of company policy and/or securities rules
  • Enforce the Electronic Communications policy by conducting ongoing and targeted reviews of email correspondence and other postings to/from employees of the firm
  • Handle internal and external requests regarding to how to follow compliance policy and procedures
  • Provide comprehensive written and verbal reports to management, including but not limited to, surveillance, investigations, and sales offices inspections
  • Ensure all required internal and regulatory reporting is conducted in a timely, accurate, and compliant manner
  • Active FINRA Series 6 and/or Series 7, or the ability to obtain within the first 12 month of employment
  • Self-starter/responsible
  • Strong organizational skills and the ability to communicate progress effectively
  • Proficient in Microsoft Word, Excel, Access and accurate typing skills
  • Entry level candidate is required to sign a 3-year contract
21

Senior Compliance Examiner, CG Resume Examples & Samples

  • Directing and coordinating the work of other employees performing compliance examination activities of relative complexity
  • Assessing quality of bank management and assisting bank management in formulating programs for the correction of practices leading to the problem bank designations
  • Conducting fair lending and consumer complaint investigations involving highly sensitive or complex issues. Preparing an investigation report and making written recommendations for or negotiating resolution of the complaint when the bank is found to be in error or violation
22

Senior Compliance Examiner CG Resume Examples & Samples

  • Serving as a key field office representative responsible for planning and conducting comprehensive compliance examination activities that include: annual percentage rate and annual percentage yield calculations, analysis of consumer and small business financial information, determination of the bank's lending patterns for income levels and geographies, review of certain financial performance indicators for the bank and analysis of demographic data related to the bank's market area
  • Serving as subject matter expert for the field office/territory in consulting with other examiners on one or more complex areas which may include fair lending, UDAP, CRA, Reg Z, or other consumer protection areas
  • Serving as coach and mentor to less tenured and noncommissioned examiners; providing advice, counsel and on-the-job training in applicable compliance examination and investigation techniques
  • Conducting or directing examinations of banks presenting more complex and/or sensitive compliance situations such as those with problematic compliance ratings; higher than average fair lending or consumer complaints; assets greater than $10 Billion; rapid asset growth, past-due RE and consumer loans; dominant management; institutions reported in Quarterly Lending Alerts or flagged as credit card banks; Large, Limited Purpose or Wholesale Banks, ILC, Niche Banks; banks having Multi-state or Multi-MSA operations; banks with high yield on credit card ratios; DeNovo institutions; etc
  • Working closely with banks or bank trade associations that have requested assistance in developing or refining compliance, fair lending and civil rights or CRA programs
  • Representing the Corporation and participating in meetings, presentations and educational forums with bankers, community groups and bank trade associations
23

Compliance Examiner Professional Resume Examples & Samples

  • Ability to leverage and sort large amounts of data
  • Advanced excel skills a plus
  • Workday experience a plusSearch Jobs US
24

Hsmv Compliance Examiner Resume Examples & Samples

  • Knowledge of automotive parts and repairs
  • Skill operating personal computers, including Microsoft Word and Excel
  • Skill in dealing with customers from varied backgrounds in stressful public contact situations effectively and efficiently in a tactful and courteous manner
  • Skill collecting and reviewing data
  • Skill performing investigative work
  • Skill in understanding, interpreting and applying rules, regulations, policies, and procedures
  • Skill in preparing accurate and complete written reports
  • Skill evaluating applications for licensure or permitting
  • Skill preparing correspondence
  • Knowledge of the Florida Real-Time Vehicle Information System (FRVIS)
  • Ability to handle cash, make correct change and follow money handling procedures
  • Skill in recording information and maintaining tracking logs
  • Ability to operate a motor vehicle
25

Securities Compliance Examiner Resume Examples & Samples

  • Travel to examination sites may be required
  • Supplementary vacancies may be filled in addition to the number stated in this announcement
  • This position has promotion potential to the SK-14 level
  • PROBATIONARY PERIOD: This appointment may require completion of a one-year probationary period
  • SECURITY CLEARANCE: Entrance on duty is contingent upon completion of a pre-employment security investigation. Favorable results on a Background Investigation may be a condition of employment or selection to another position
  • DRUG TESTING: This position may be subjected to drug testing requirements
  • PERMANENT CHANGE OF STATION (PCS): Moving/Relocation expenses are not authorized
  • DIRECT DEPOSIT: All Federal employees are required to have Federal salary payments made by direct deposit to a financial institution of their choosing
  • This position is in the collective bargaining unit
  • To begin, click Apply to access the online application. You will need to be logged into your USAJOBS account to apply. If you do not have a USAJOBS account, you will need to create one before beginning the application
  • Follow the prompts to select your résumé and/or other supporting documents to be included with your application package. You will have the opportunity to upload additional documents to include in your application before it is submitted. Your uploaded documents may take several hours to clear the virus scan process
  • After acknowledging you have reviewed your application package, complete the Include Personal Information section as you deem appropriate and click to continue with the application process
  • You will be taken to the online application which you must complete in order to apply for the position. Complete the online application, verify the required documentation is included with your application package, and submit the application
  • Required: Your responses to the Occupational Questionnaire
  • Required: Your complete and comprehensive resume that includes a complete history of your work experience and the applicable employment dates with months and years. To determine if you qualify for this position, OHR will review your work history that is relevant to the specific position for which you applied. If you are selected for this position, OHR will review your complete work history to establish your starting salary.Note: Your resume must directly address the definition of specialized experience listed in the qualification section of this announcement and must NOT contain pictures
  • Required, if applicable: CTAP documentation (a copy of a separation notice or other proof of eligibility for priority selection; a copy of an SF-50, Notification of Personnel Action, showing current position, grade, promotion potential, and duty location; AND a copy of your most recent performance appraisal.)