Monitoring & Testing Resume Samples

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RR
R Rippin
Rashad
Rippin
268 Jamison Ports
Los Angeles
CA
+1 (555) 737 2423
268 Jamison Ports
Los Angeles
CA
Phone
p +1 (555) 737 2423
Experience Experience
Detroit, MI
IB Compliance Monitoring & Testing Branch Reviews
Detroit, MI
Kris Inc
Detroit, MI
IB Compliance Monitoring & Testing Branch Reviews
  • Lead and motivate junior members of the Americas IB Compliance M&T team, assisting the Americas Head with developing and building bench strength
  • Plan for, manage, and at times lead on-site compliance reviews at IB Branch office locations to
  • Responsible for managing delivery against the annual IB Compliance M&T Branch Program review schedule, including direct oversight of scope, budget and travel spend, and testing approach. Both completion of reviews against plan and the level of issues raised are key metrics on the scorecards of Compliance Management Team members
  • Develop recommendations for corrective actions based on review findings
  • Present and report review results to Branch, Business and Compliance management
  • Contribute as a thought-leader in evaluating and refining the IB Compliance M&T testing program and review methodologies, coordinating with regional and global colleagues to determine and implement firm-wide and industry best practices
  • Initiate and maintain constructive relationships with senior stakeholders across Branch, Business, and Compliance management in the Americas to keep abreast of current business developments and regulatory issues that may impact the risk environment of the Firm
Detroit, MI
Senior Manager RC Monitoring & Testing
Detroit, MI
Cronin-Bruen
Detroit, MI
Senior Manager RC Monitoring & Testing
  • Lead or oversee cross business programs, projects and initiatives related to Regulatory Compliance Testing, management strategy and project management
  • To liase with Lines of Business and provide updates on CMAT issues and regiews
  • Execute assigned responsibilities from the Dynamic Rolling Plan, at the direction of the Canada Regional RCMAT Head
  • To liaise with Lines of Business and provide updates on RCMAT issues and reviews
  • Be aware of the Business Regulatory Risk associated with the business. Monitor in accordance with the Principal Accountabilities set out above
  • Continually review and optimise the Test strategy to eliminate redundancy and duplication, identify process gaps
  • Coordinate organisational structure, budget and other administrative functions related to the Canada CMAT organization
present
Phoenix, AZ
Senior Manager FCC Monitoring & Testing
Phoenix, AZ
Kilback, Satterfield and Jaskolski
present
Phoenix, AZ
Senior Manager FCC Monitoring & Testing
present
  • Lead or oversee cross business programs, projects and initiatives related to Compliance Testing, management strategy and project management
  • Lead or oversee issue resolution, to include the initiation, development and delivery of products, programs and strategies responsive to the issues
  • The position routinely interacts with senior management for assigned businesses, division and country executives, other Group senior managers, regional and local compliance functions, peers throughout the organization and senior examination officials conducting regulatory examinations
  • This position is only to be used in areas where the organizational structure has (Senior) Managers reporting into a level between the (Senior) Manager and Director
  • Coordinate the governance of the Annual Plan, in conjunction with the Canada Region CMAT head and Functional Leads
  • Keep Compliance, Business and Functional management informed of significant matters and oversee a governance process designed to communicate timely and relevant information to Senior Management as well as Local/ Regional Management, via both established dashboards and other vehicles
  • The position directs compliance activities for the largest and/or most complex businesses in North America and is considered a senior compliance position within the business unit and/or function
Education Education
Bachelor’s Degree in Business
Bachelor’s Degree in Business
Temple University
Bachelor’s Degree in Business
Skills Skills
  • Ability to learn new topics quickly
  • Good documentation skills
  • Strong written and verbal communication skills in English, fluency in Mandarin
  • Good judgment of issues and risk
  • Attention to detail
  • Confidence and ability to interview business managers to gather relevant information
  • Structured and analytical approach
  • Analysis of businesses and risk e.g. for regulatory compliance, due diligence or auditing
  • The ideal candidate will have at least 6 years of relevant experience in the industry
  • Experience in internal or external audit will be
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11 Monitoring & Testing resume templates

1

VP IB Compliance Monitoring & Testing Resume Examples & Samples

  • Responsible for managing the Quality Assurance, Tracking & Management Information ('QA/Tracking/MI') function of the IB Compliance M&T Branch Program in the Americas
  • In the Quality Assurance, Tracking & Management Information role, the successful candidate must be able to coordinate effectively with colleagues both within the IB M&T Americas team, as well as with other Compliance functions (notably the IB Compliance Delivery & Execution team, other regional M&T teams, and Product Compliance Advisory), Barclays Internal Audit, Front Office areas under review, and other control function colleagues
  • Assist the Americas Head of IB Compliance M&T with managing delivery against the annual IB Compliance M&T Branch Program review schedule, helping to track completion of reviews against the team's annual plan and all open/overdue action points raised through the reviews undertaken
  • Contribute as a thought-leader in evaluating and refining the IB Compliance M&T testing program and review methodologies, coordinating with regional and global colleagues to determine and implement firm-wide and industry best practices
  • Conduct QA reviews of final draft reports and review documentation
  • Prepare regular management information on behalf of the Americas region for the IB Compliance M&T Leadership Team, wider IB Compliance Management Team and other governance bodies such as the IB ExCo as requested
  • Assist Global Head of IB Compliance M&T QA/Tracking/MI with the build out of the IB Compliance Monitoring & Testing QA / Tracking /MI capabilities, in addition to ensuring that the build out accords with the harmonization with other Barclays Compliance M&T functions
  • Further establish the already created pan-IB Compliance capability for maintaining/ensuring the quality of the team's output
  • Support the development and ongoing administration of the Compliance Testing System ('CTS') to facilitate efficient review and annual planning processes
  • Lead and motivate junior members of the Americas IB Compliance M&T team, assisting the Americas Head with developing and building bench strength
  • 4-year Bachelor's degree or international equivalent
  • 6+ years of relevant compliance, regulatory, audit or operational risk management experience in a global investment bank or with a regulator
2

AVP, Compliance Monitoring & Testing Resume Examples & Samples

  • Draft preliminary recommendations and work with responsible owners to agree on corrective action based on review findings
  • Follow-up on action plans to verify that corrective action has been effectively implemented
  • Work with Compliance and Business colleagues to prepare for regulatory examination
3

IB Compliance Monitoring & Testing Resume Examples & Samples

  • 4 year Degree
  • 2+ years of compliance, regulatory, audit or operational risk management experience in a global investment bank including experience with investment banking products, experience with Federal banking rules and regulations a plus
  • Knowledge of FINRA, SEC and other regulatory rules and regulations
  • Ability to analyze and interpret regulatory rules and their impact on the business
  • Enforcement experience with FINRA, SEC or other regulatory agency a plus
  • Industry affiliations
  • Energetic, detail-oriented, organized, articulate, willing to take responsibility, and comfortable speaking and responding to comments and questions regarding review work
  • Self motivated, proactive and able to manage multiple priorities
  • Ability to anticipate and provide solutions to complex problems
4

IB Compliance Monitoring & Testing Branch Reviews Resume Examples & Samples

  • 4+ years regulatory, audit or operational risk management experience in a global investment bank or with a regulator
  • 4+ years of branch exams experience, including extensive in-depth knowledge of FINRA, SEC, and other the relevant regulatory rules and regulations
  • Ability to analyze and interpret regulatory rules and their impact on the business areas reviewed
  • Good understanding of core investment banking business lines and products, including equities, fixed income, commodities, banking and financing activities
  • Enforcement experience with FINRA, SEC or other regulatory agency a plus Industry affiliations
  • Energetic, detail-oriented, organized, articulate, willing to take responsibility and comfortable speaking and responding to comments and questions regarding review work
  • Demonstrated analytical skills
  • Demonstrated written and oral communication skills
  • Constructive and positive approach to challenges
  • Ability to represent and enforce compliance while considering the needs of the business
  • Experience managing/leading teams
5

Senior Manager FCC Monitoring & Testing Resume Examples & Samples

  • This position is only to be used in areas where the organizational structure has (Senior) Managers reporting into a level between the (Senior) Manager and Director
  • Positions designated as “general compliance” are typically focused on one or more major lines of businesses within the Company (i.e. Consumer Lending, Retail & Commercial Banking, Card Services, etc.). Many of the businesses entail a high degree of regulatory compliance and reputational risk, particularly with respect to risks arising out of non-compliance with extensive and complex regulations. Failure to comply with these regulations would have significant negative effects on relations with regulators, the reputation of the Company with the public and may result in regulatory impediments to mergers and acquisitions and significant regulatory sanctions, including regulatory fines of material amounts
  • The position directs compliance activities for the largest and/or most complex businesses in North America and is considered a senior compliance position within the business unit and/or function
  • The position routinely interacts with senior management for assigned businesses, division and country executives, other Group senior managers, regional and local compliance functions, peers throughout the organization and senior examination officials conducting regulatory examinations
  • Significant travel may be required, as appropriate
  • Experience required in
  • Internal audit experience covering Global Banking and Markets
  • Compliance experience in Global Banking and Markets
  • Monitoring and testing experience in Global Banking and Markets
  • Minimum of ten years proven and progressive financial services operations, compliance and/or legal management experience or equivalent
  • Bachelor’s degree in business, related field or equivalent experience; Master’s degree preferred
  • Strong managerial, communications, analytical, organizational, project management and planning skills
  • Strong knowledge of assigned businesses, products, operations, systems and organization and full understanding of all significant regulatory compliance requirements applicable to the business
6

Monitoring & Testing, PCB Compliance Resume Examples & Samples

  • The monitoring visits may include any of the business areas covered by the team and any of the technical compliance areas
  • Assist with and/or lead the production of formal reports identifying compliance issues and recommending changes to management controls and processes. Input to discussions with management and agree findings and recommendations
  • Where relevant, assist with theme-based reviews across the business
  • Adhere to the Monitoring & Testing procedures including recordkeeping and documentation requirements
  • Ad-hoc reviews, with appropriate written or verbal reports as requested by compliance management
  • Practical experience of an appropriate risk based approach to monitoring/testing (gained either in Audit or Compliance monitoring)
  • Sound knowledge of Monetary Authority of Singapore, Hong Kong Monetary Authority or other regulatory body rules and regulations with specialist technical knowledge as above
  • Extensive experience, preferably in private client or investment management businesses
  • Fluency in Cantonese and English is required
  • Proficiency in other languages would be a plus, mainly Mandarin
7

VP, Monitoring & Testing Resume Examples & Samples

  • Work to establish a risk based review plan to meet review cycle requirements
  • Perform testing of compliance and regulatory related controls to evaluate effectiveness
  • Provide necessary training and assistance to other members of the team to ensure they are able to plan and conduct compliance reviews
  • 7+ years of experience in financial industry 5+ years of general Compliance experience or 4+ years of experience in a testing, branch examination position or working for a Regulator
  • Analysis, planning and problem solving skills
  • Superior organizational skills
  • Series 7, 66 and 24 a plus
  • High level attention to detail
  • Knowledge of complex products a plus
8

BSA Compliance Monitoring & Testing Officer Resume Examples & Samples

  • Communications test results to management, the BSA Quality Assurance Lead, the BSA Compliance Program Manager and the BSA Officer. Prepares and presents written testing report of testing results and recommendations
  • LI-JB1
  • ACAMS certification preferred
  • 5 - 7 years internal audit, compliance, or regulatory
  • Strong writing skills for composition of reports
  • Strong knowledge of the Bank Secrecy Act, USA PATRIOT Act, OFAC Sanctions and FFIEC Examinations Manual
  • Independent worker, analytical and critical thinker; ability to multi-task and work in a fast-paced environment
  • Computer literacy required (Word, Excel, etc)
9

Director, Monitoring & Testing Resume Examples & Samples

  • Develop and maintain a Compliance Monitoring Schedule based on ongoing risk assessments and the Visa risk scoring and rating methodology
  • Demonstrate ability to exercise good judgment in assessing the significance and relevance of identified compliance risks and perform timely escalation to CCO
  • Assist the business in developing first line of defense in establishing controls to ensure regulatory compliance and implementing monitoring for assurance
  • Develop and manage strong working relationships with the Business Areas to facilitate on-going communications to assess changes in risk profiles and assist them with improvements in their QC/test plans
  • Draft reports of the results of monitoring & testing projects, which are clear, concise, and provide value to management
  • Communicate findings and recommendations to management, determine root causes, obtain management’s action plan for remediation in a timely manner and track findings through resolution
  • Minimum 7 - 10 years of audit/compliance testing experience
  • Substantive / current knowledge of building / managing U.S. regulated banking monitoring and testing programs
  • Strong communication skills (written, verbal, and listening)
  • Solid organizational, analytical and problem-solving skills, along with attention to detail
  • Providing hands on supervision to team members assigned to the project and reviewing their work for sufficiency of scope, ensuring accuracy and quality work in adherence to department and professional standards
  • Ability to work on multiple projects at one time
  • Assist the Senior Director with the strategic direction and effective management of the group. Ensure that all teams within the group work as a team to meet the department goals
  • Sound understanding of business management principles
  • Develop Business Partnerships. Develop a strong working relationship with line managers responsible for the assigned lines of business. This relationship is predicated on developing continuous, proactive communication lines with management
  • Being viewed as a leader, management consultant and internal controls expert as part of building and maintaining ongoing business/compliance relationships with management
  • Must be self-managing and able to work with minimal day-to-day guidance
  • Must enjoy being a member of a cohesive team. Competent in using Microsoft Office
10

VP of Monitoring & Testing Resume Examples & Samples

  • 7+ years of experience in financial industry, 5+ years of general Compliance experience, or 4+ years of experience in a testing, branch examination position or working for a Regulator
  • Series 7, 66 and/or 24
  • Knowledge of complex products
11

Intern, Risk-fcc & RC Monitoring & Testing Resume Examples & Samples

  • Launch of new Thomson Reuters system, in particular the audit module
  • New MI templates and reporting infrastructure
  • Internal quality assurance exercise over compliance reviews
  • Be immersed in HSBC’s culture and the Financial Crime and Regulatory Compliance function
  • Gain a better understanding of financial crime and how financial institutions work to protect against financial crime
  • Learn to work in a dynamic, team-based environment
  • Available to work maximum 12-14 week internship (May 18 or 26 – August 29, 2014)
  • Applicants have finished their 2nd or 3rd year of a BA degree or 1st year MBA
  • Overall minimum GPA of 3.0
  • Eligible to work in Canada
  • Well developed communication skills
  • Passion to share your opinions and ask relevant questions
  • Strong leadership capabilities
  • Active in the community/university
  • Organizational, planning, quantitative, analytical, problem-solving and leadership skills with an attention for detail
  • Strong interpersonal skills and enjoys working in a team environment
  • Ability to collate data; Strong command of software programs (Excel and Powerpoint)
12

Analyst Fcc & Rc Monitoring & Testing Governance Resume Examples & Samples

  • Provision of management information (MI) on the outcome of monitoring for the local and regional compliance officers and business unit governance committees
  • Updating procedures and guidance in line with Group standards, regulatory requirements, and industry standards
  • Liaising with team members and business partners to perform quality assurance to check compliance with CMAT policies
  • Preparation of MI and escalation of any issues related to CMAT activities to the Head of Monitoring (HOM) to share with Business Lines, for example, monitoring falling behind schedule or non-adherence to processes and procedures
  • The position addresses legal compliance matters in daily activities to ensure regulatory requirements and operating practices are followed in assigned areas. Ultimate authority for compliance risk management and policy decisions rest with higher management
  • Many of the businesses supported entail a high degree of regulatory compliance and reputational risk, particularly with respect to risks arising out of non-compliance with extensive and complex regulations. Failure to comply with these regulations would have significant negative effects on relations with regulators, the reputation of the Company with the public and may result in regulatory impediments to mergers and acquisitions and significant regulatory sanctions, including regulatory fines of material amounts
  • The position routinely interacts with management for assigned businesses, regional and local compliance functions, peers throughout the organization and examination officials conducting regulatory examinations
  • Travel may be required, as appropriate
  • Minimum of three years proven audit, compliance, financial services operations and/or regulatory experience, or equivalent
  • Bachelor’s degree in business, finance, accounting, related field or equivalent experience
  • Good interpersonal, organizational, communications, analytical and project management skills
  • Proficiency with personal computers and pertinent mainframe systems and software packages, especially MS Excel
13

Compliance Cass Monitoring & Testing Resume Examples & Samples

  • Assist the senior members of the CASS MT with the delivery of the CASS monitoring and testing programme including CAP validation
  • Lead or be part of a team on CASS MT reviews which includes planning, executing and completing reviews
  • Assist in other tasks within the CASS MT remit
  • Experience in banking and/or operational risk and control
  • Significant experience with data extraction, analysis and monitoring of MI/KPI/KRI
  • Experience with identifying process improvements and controls enhancements
  • Practical audit experience in a Big 4 or other top tier accounting firm an advantage
  • Practical knowledge of accounting preferred
  • General understanding and knowledge of the practical application of the rules set out in CASS preferred
  • Experience with application of CASS rules for global financial services companies preferred
  • Demonstrable ability to manage teams an advantage
  • Strong analytical skills and ability to summarise information to focus on key messages
  • An understanding of CASS rule requirements and their application to operational processes preferred
  • Reasonable working knowledge of Investment Banking and Private Banking, both products and operational processes
  • Strong interpersonal and influencing skills, with the ability to establish credibility and strong partnership with senior business/compliance partners
  • Have good organisational skills with an ability to manage, prioritise, work under pressure and meet tight deadlines
  • Demonstrate ability to build and maintain relationships with businesses and other stakeholders at different levels of seniority
  • Expect to travel to other location on occasion as required
14

Compliance Monitoring & Testing SVP Resume Examples & Samples

  • At least 10 years experience in Audit, Compliance or Testing in multiple areas of banking
  • Strong regulatory knowledge
  • Excellent planning and execution abilities
  • Ability to build strong realtionships internally
15

Associate GIM Regional Compliance Monitoring & Testing Resume Examples & Samples

  • Research, plan and lead monitoring reviews, in accordance with the Firm’s Compliance procedures to provide an independent assessment of compliance with applicable rules and regulations
  • Organize and prepare management information relating to monitoring reviews completed, issues identified, outstanding action plans and progress against plan
  • Work with line of business management to develop appropriate action plans to remediate issues identified
  • Work to enhance the visibility of the monitoring program and establish key business relationships. Interact with all levels of business management and staff. Meet regularly with key business stakeholders to remain informed of risks within the business and issues arising
  • Work with the Compliance Advisory teams/Subject Matter Experts to ensure up to date and comprehensive understanding of business areas. Use this knowledge to develop and execute the monitoring program
  • Coordinate with other team members globally to ensure a consistent approach where appropriate, and assist in various ad hoc projects as necessary
  • Establish a process of continuous development of both individuals and the test program; and
  • Undertake ad-hoc projects
  • Analytical and good interpersonal skills required
  • Minimum 5 to 7 years of financial services experience, preferably in Audit or Monitoring/Testing related roles
  • Ability to manage multiple projects simultaneously with minimal supervision
  • Understanding of risk and control frameworks
  • Good knowledge of the regulatory framework for global banking and securities institutions, with an overall understanding of regional regulations relating to retail brokerage, registered investment advisors, alternative investments and other complex financial products and/or consumer banking related requirements (e.g., mortgages, deposits, trust and estate services)
  • Fluent in English, working knowledge of Cantonese/Mandarin and other Asian languages will be an advantage
  • Strong written and verbal communication skills, as well as influencing abilities; and
  • Knowledge of Microsoft Word, Excel and PowerPoint. Experience with Visio preferred, but not required
16

VP GWM Compliance Monitoring & Testing Resume Examples & Samples

  • Testing of businesses and processes impacted by regulatory changes
  • Co-ordination with global Compliance teams in order to ensure that APAC GWM test program is aligned with global objectives and meets the firm’s standards
  • Co-ordination and engagement in audit, regulatory and client enquiries and reviews relating to compliance testing
  • Involvement in Compliance Practices departmental projects
  • Approximately 8 to 10 years relevant Compliance experience or other related experience such as legal, risk management and audit
  • A strong leader with between 3-5 years management experience
  • Excellent written skills with an ability to produce and oversee the production of well written reports and present findings to senior management
  • Strong communication, interpersonal and influencing skills. The candidate should have the ability to establish credibility and strong partnerships with senior business leaders, control functions and corporate partners globally
  • Good organizational skills with the ability to oversee the workload and prioritize in order to meet tight deadlines
  • Has a good appreciation of the regulations applicable in APAC and GWM
  • Expect to travel to other locations as required
17

Director Compliance Monitoring & Testing Resume Examples & Samples

  • CPA or CIA preferred
  • Excellent written, oral and presentation skills and ability to synthesize information to make clear, concise recommendations
  • Excellent knowledge of Legal and Regulatory requirements for Payment Card Industry and a Public Company, such as Antitrust, FCPA, GLBA, BCM, PCI-DSS, and AML and the ability to discern the practical application of legal and regulatory requirements
  • Significant experience in evaluating the Policies / Programs associated with complex business and Operational processes
  • Excellent data analysis skills and demonstrated experience developing and executing compliance control validation program within a complex operational, IT, and/or regulatory environment
  • Minimum 7- 10 years of audit/compliance risk assessment experience, preferably with a large financial institution or Big 4 firm
  • CIA, CRCM, CISA, CISM, or other relevant professional certification highly desired
  • Strong skills in Microsoft Suite, i.e. Outlook, Access, Excel, Power Point, and Microsoft Word
  • Excellent organizational and project management skills and the ability to execute on multiple projects simultaneously
  • Must be self-directed and possess a results orientation
  • Knowledge of the Financial/Banking industry preferred
18

Monitoring & Testing Resume Examples & Samples

  • Running the Risk Assessment framework
  • Carrying out in-depth reviews
  • The ideal candidate will have at least 5 years of relevant experience in the industry
  • Experience in the following areas is required
  • Investment banking (particularly securities trading)
  • Analysis of businesses and risk, (e.g. for regulatory compliance, due diligence or auditing)
  • Experience in internal or external audit will be a plus
19

Monitoring & Testing Resume Examples & Samples

  • Running the Compliance Risk Assessment framework
  • Carrying out in-depth Compliance reviews
  • The ideal candidate will have at least 6 years of relevant experience in the industry
  • Analysis of businesses and risk e.g. for regulatory compliance, due diligence or auditing
  • Structured and analytical approach
  • Confidence and ability to interview business managers to gather relevant information
  • Strong written and verbal communication skills in English, fluency in Mandarin a plus
20

Compliance Monitoring & Testing Resume Examples & Samples

  • Conduct field reviews in line with the firm's methodology and document findings
  • Recommend remedial actions based on findings and track them forward for within specific timelines
  • Write reports that present review results, articulate the rationale for findings, the risks posed and actions required to address those risks
  • Work with Business Line Compliance Officers and management to agree on appropriate action plans
  • Track agreed actions through to conclusion and report on progress upon completion of reviews
  • Develop good working relationships with key stakeholders including Business Line Compliance Officers, Business Divisions and other Infrastructure / Control functions at all levels including senior stakeholders
  • Develop and maintain a broad knowledge of the Firm's business and regulatory framework in which it operates
21

Senior Manager RC Monitoring & Testing Resume Examples & Samples

  • When unsure, guidance would be sought from Canada Head of RCMAT. The jobholder is expected to act pro-actively in identifying issues through regulatory compliance testing. Individuals should have the ability to quickly assess information through analysis and knowledge of business structure as well as showing leadership in an unstructured environment and keeping up-to-date with changes in the HSBC Group and applicable regulatory requirements
  • To liaise with Lines of Business and provide updates on RCMAT issues and reviews
  • Minimum of 7 years of proven Banking / business, Solid audit and/or accounting experience in HOST Functions, CMB, RBWM and GBM or equivalent. Experience in Back Office Operations reviews
  • CA, CPA, CIA or CISA and Bachelor degree in business, law, accountancy or related field or equivalent experience. Masters, MBA preferred
  • Ability to manage conflicting priorities effectively and proven ability to meet challenging deadlines
  • Ability to exercise discretion, work independently within broad guidelines, tactfully handle sensitive and confidential data and complete assignments timely
  • Confident interaction with stakeholders at all levels throughout the organization
  • Ability to influence, build consensus, and handle challenges independently and appropriately
  • Ability to work with different cultural groups and accept different points of view
22

Compliance Monitoring & Testing Program Manager Resume Examples & Samples

  • Assist with designing and implementing a comprehensive Compliance Monitoring and Testing Program, including conducting compliance reviews, coordinating with business units and support functions, assessing existing policies and procedures and testing business processes as they relate to LexisNexis Risk Solutions’ compliance and regulatory obligations
  • Identify potential gaps during testing and coordinate remediation efforts between the business unit, legal and the Regulatory Compliance Group
  • Design, enhance and review exception reports
  • Collaborate with the business units and technology to design internal controls, methods and procedures, and make quality observations. Develop internal controls including methods and procedures
  • Assist in the development of test plans for compliance testing. Partner with internal stakeholders for the definition and development of controls, monitoring programs and reports
  • Manage, resolve and escalate, as appropriate, issues to the Regulatory Compliance Group attorneys and if necessary, the business unit attorneys
  • Identify and propose solutions to inefficiencies and redundancies, and engage in constant process improvement
  • The role reports into the Regulatory Compliance Group and involves alignment and coordination with business units and technology
  • Bachelor's degree or equivalent work experience required
  • 5-7 years’ experience with 3-5 years in compliance or audit experience
  • Excellent analytic and organizational skills. Ability to work independently
  • Strong time management and prioritization skills, able to demonstrated ability to execute multiple projects and excel in a fast-paced work environment
  • Demonstrate a general knowledge of applicable laws and regulations and industry trends
  • Skilled in industry research and benchmarking, performance assessments and development programs
  • Working knowledge of MS Office
  • Certifications preferred (e.g., CPA/CA, CIA, CISA, CFE, etc.)
23

VP Monitoring & Testing Governance Resume Examples & Samples

  • Testing Program and Methodology: Take a managerial role in the implementation of program standards. Contribute to continuous improvement and update of the overall process
  • Quality Assessment and Improvement Program: Assist in the design a program focused on promoting quality and consistency. Ensure continued execution of the process. Identify areas for improvement and contribute practical, innovative, and value-added solutions. Assist in development of training and other performance management initiatives to drive excellence
  • Governance and Reporting: Assist in the design, coordinate and aggregate reporting for the Americas/Countries. Implement consistent reporting methodologies for the Region. Ensure all local, regional and global reporting objectives are maintained
  • Annual Plan/Risk and Review Prioritization (Test Plan Development): Maintain ongoing awareness of key factors that affect the compliance risk environment from an internal and external perspective. Analyze and understand how these key factors affect CMAT testing and department planning processes. Manage the development of the annual testing plan and ongoing prioritization of reviews
  • Program Quality: Provide guidance over creation and maintenance of the testing program library. Manage the deliverables of the program quality process
  • Minimum of a bachelor’s degree in business, accounting, finance, related field or equivalent experience or professional certification (CPA, CA or CIA)
  • Excellent communication skills both oral and written
  • Ability to exercise discretion, work independently within broad guidelines, tactfully handle sensitive and confidential data, and complete assignments timely
  • Ability to travel as needed
24

Senior Financial Crimes Independent Monitoring & Testing Officer Resume Examples & Samples

  • Serve as tester-in-charge for full scope and/or risk-based, critical and complex testing assignments
  • Assign and supervise the activities of the Monitoring and Testing team who participate on the assignment
  • Assist in planning, scoping and developing test plans; using resources effectively to complete assignments within time goals
  • Facilitate meetings related to issues, rating and testing details with business unit (BU) and senior management
  • Write testing reports, ensuring test procedures are followed; make risk determinations and overall report rating decisions
  • Lead kick-off and closing meetings with BU and/or senior management
  • Develop and deliver tactical training to new team associates, as needed, to complete assignments
  • Make appropriate recommendations and risk ratings of issues and findings during the testing process
  • Address material issues with senior management, including technical discussion of root cause and evaluation of corrective action plans
  • Develop strong, auditable work papers, including documented support for all areas in scope and any issues noted in the testing report
  • Play a key role in validation of corrective actions by lines of business
  • Six years of compliance experience in AML compliance, AML regulatory, AML audit or related experience
  • Advanced knowledge and experience with compliance testing or compliance auditing and complex banking compliance requirements
  • Very good analytical and problem solving skills that will be used in addressing issues that may appear, and often times are, overly complicated
  • Ability to evaluate the adequacy and effectiveness of the systems or processes that are compliance controls and make recommendations for improvements, as necessary
  • Excellent understanding of risk dynamics, risk management and process concepts
  • Established verbal, written, facilitation and consulting skills
  • Excellent ability to communicate and interact with all levels of management; demonstrate and be recognized as having strong knowledge and procedural skills
  • Master’s degree in a Legal or Business-related field
  • Eight years of AML compliance experience at medium to large financial institution(s)
  • Five years of experience in compliance management/audit or examination fields
  • Two years of strong performance in a compliance testing position, demonstrating the ability to lead large/complex testing events, enterprise perspective, strong attention to detail, and expert level compliance knowledge/skills
  • Certified Regulatory Compliance Manager (CRCM), Certified Anti-Money Laundering Specialist (CAMS), Certified Internal Auditor (CIA), or other specialized compliance education/professional designation
25

Financial Crimes Independent Monitoring & Testing Officer Resume Examples & Samples

  • Ability to analyze and understand Bank Secrecy Act (BSA)/AML/OFAC Sanction regulatory requirements
  • Review ongoing monitoring activities of assigned review areas
  • Perform validation of BU self-monitoring
  • Develop strong, auditable work papers, including documented support for all areas in scope and any issues noted in monitoring and validation reviews
  • Make appropriate recommendations for risk ratings of issues and findings during the monitoring and validation process
  • Address material issues with business unit senior management, including technical discussion of root cause and evaluation of corrective action plans
  • Assist Senior Financial Crimes Independent Monitoring and Testing Officer, as needed
  • Play a key role in validation of corrective actions by lines of business. Assist the Financial Crimes Independent Monitoring and Testing Manager with the following as needed
  • Four years of compliance experience in AML compliance, AML regulatory, AML audit or related experience
  • Advanced knowledge and experience with compliance testing or compliance auditing
  • Very good analytical and problem solving skills that will be used in addressing issues that may appear and often times are overly complicated
  • Ability to evaluate the adequacy and effectiveness of the systems or processes that are compliance controls
  • Ability to communicate and interact with business unit management
  • Five years of AML compliance experience at medium to large financial institution(s)
  • Three years of strong performance in compliance-related role
  • Two years of experience in compliance management/audit or examination fields
  • Certified Regulatory Compliance Manager (CRCM), Certified Anti-Money Laundering Specialist (CAMS), Certified Internal Auditor
26

Senior Analyst RC Monitoring & Testing Resume Examples & Samples

  • Work with the team to provide a highly professional, competent and skilled service to the Business
  • Strong interpersonal skills with the ability to communicate effectively at all levels and to engage with senior HSBC staff within the functions
  • Ability to foster relationships whilst providing adequate challenge and effecting change
  • Ability to work under pressure and within tight time-lines
  • Excellent verbal and written communication skills – ability to communicate complex regulatory issues in writing
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Senior Manager, Monitoring & Testing Resume Examples & Samples

  • The role conducts AML monitoring reviews throughout all BMOFG lines of businesses. The role has a deep understanding of review and monitoring techniques along with knowledge of AML legislation. The incumbent assists in the development of the methods and standards used to be used when conducting reviews of AML Program requirements
  • The incumbent executes multiple simultaneous review engagements and identifies areas for improvement in the AML program. The role has accountability to make recommendations to close gaps to Senior Executives within the lines of business, and identify best practices from within BMOFG and throughout industry. The role is capable of executing end to end control reviews with limited oversight by the Senior Manager, including defining the engagement scope, communicating with Line of Business Partners and presenting results to Senior Management. The role will execute monitoring in highly complex areas in the line of business, including International Financial Institutions, Trade Fianance and Private Banking
  • The incumbent develops standardized monitoring and testing procedures which are used by AML Monitoring staff to conduct their reviews. Monitoring and validation procedures are created to formalize the monitoring program across all lines of business. The incumbent provides guidance to international locations to ensure consistency of the monitoring program
  • The incumbent is responsible for developing and enhancing the AML monitoring strategy. This includes, updating the program for new assurance and risk methodologies, identifying new testing for new or altered lines of business and establishing testing for areas of weakness. The role is expected to manage the annual planning process, which identifies the areas to be tested for the upcoming year
  • The incumbent is responsible for providing advice and direction to AML Enterprise Operations and all Lines of Business to educate them on AML requirements. The role will assist in co-ordinating testing with Internal Audit and will advise internal audit on findings
  • The role is expected to have at least 7-10 years of related work experience in Compliance, Audit or Operational Risk
  • Organizational Understanding - Knowledge of Enterprise processes and operations, including all LOB/Pillars and T&O
  • Risk management - Knowledge of AML regulations and regulatory expectations
  • Analytical Thinking - Knowledge of Audit, internal controls and/or similar oversight procedures would be an asset
  • Communication - Ability to communicate with cross functional groups and senior levels of management and clearly document the results of work performed
  • Problem Solving - Ability to identify potential solutions to systemic issues in consultation with senior management
  • Auditing - Ability to examine the work of others to ensure compliance with requirements
28

Head of RC Monitoring & Testing Resume Examples & Samples

  • Minimum of a Bachelor’s degree in business, related field or equivalent experience
  • 10 years in the financial industry with a minimum of 7 years in Compliance testing and monitoring or possibly relevant audit / regulatory experience covering a wide range of business areas
  • Knowledge of key current rules and regulations governing the bank activities and its subsidiaries
  • Highly motivated self starter with proven ability to work collaboratively within teams and to deliver on time
29

Monitoring, Testing & Training Manager Resume Examples & Samples

  • Intellectual and analytical skills of a high order. He/she is likely to be a graduate and / or have a professional qualification
  • Ability to use initiative and work with minimum supervision but ensuring, at the same time, that the line reports are kept fully informed at all times
  • Ability to work on different reviews at the same time, meet all deadlines and work under pressure
  • Ability to communicate effectively, orally and in writing, with senior internal and external audiences – to educate, persuade, negotiate, gain decisions, enforce
  • The strength of character, credibility and personal presence and the communication skills to operate confidently and effectively at senior levels both internally and externally
  • The flexibility to appreciate the commercial objectives of the business, coupled with an ability to challenge, independently and constructively, senior management, peers or other staff where appropriate, to insist upon adherence to the highest standards of business practice and to the requirements of relevant authorities. Tact and sensitivity as well as strength and authority are important
  • Ability to consider issues from a range of angles and propose creative solutions that assist the business in achieving its goals in a safe, compliant and controlled manner
  • Displays familiarity and knowledge of relevant banks product/services/markets/policies
  • Demonstrates a good understanding of functional areas within banks. e.g. finance, markets, risk, treasury, corporate, retail, IB
  • Displays willingness and initiative to learn about new products
  • Understands the control, regulatory and risk issues of the financial institutions
  • Improve technical knowledge through self-learning or training
  • Effective communication skills, both written and verbal
  • Audit/Monitoring experience in a financial services environment
  • He/she is likely to be a graduate and / or have a professional qualification
  • Experience in negotiation/influencing
  • A bachelor’s degree in finance or ACCA or any related qualifications
  • A minimum of three years experience in the financial sector
30

Compliance Monitoring & Testing Resume Examples & Samples

  • Leading and conducting APAC and Global M&T Compliance reviews to
  • Validate compliance against established policies and procedures and applicable regulations
  • Develop recommendations for corrective action based on review findings
  • Work with advisory compliance colleagues and management to agree on appropriate action plans
  • Present and report review results to Business and Compliance Management
  • Satisfy standards for delivering high quality value added monitoring & testing reviews
  • Bachelor Degree or equivalent
  • Significant compliance experience, preferably with a global investment bank
  • Regulatory and/or advisory compliance experience preferred
  • Working knowledge of relevant rules and regulations
  • The candidate must be detail-oriented, organised, articulate, willing to take responsibility, and comfortable speaking and responding to concerns and questions regarding review work
  • Takes constructive and positive approach to challenges
  • Able to work independently and in a team environment
  • Able to represent and enforce compliance while considering the needs of the business
  • Able to support point of view when challenged
  • Proven ability to anticipate and provide solutions to complex problems
31

Head of RC Monitoring & Testing Resume Examples & Samples

  • 10 years in the financial industry with a minim of 7 years in Compliance testing and monitoring or possibly relevant audit / regulatory experience covering a wide range of business areas
  • An excellent understanding of the regulatory environment and expectations, interpretation of Canadian Regulatory rules and guidance together with and other relevant regulations, codes and HSBC Group Standards
  • Strong interpersonal skills with the ability to communicate effectively with both Compliance and Business Senior Management
32

Director of Monitoring &testing Resume Examples & Samples

  • Maintaining Global Procedures and Monitor Plan execution according to the established review schedule and on an ad hoc basis, as necessary
  • Review and verify compliance with applicable policies and procedures leveraging existing risk assessment processes and other drivers of the annual plan
  • Review compliance testing results, evaluate internal controls and identify deficiencies and anticipate and provide solutions to improve the program
  • Direct Compliance review testing teams cross divisionally. This will include, but not limited to, close review of the Global standards
  • The successful candidate will have experience interacting with knowledgeable and demanding audiences at all levels of management
  • He/She is expected to demonstrate integrity, flexibility, versatility and an ability to shepherd multiple concurrent priorities to completion without significant guidance
  • He/She should have proven success in coordinating large scale initiatives involving geographically and functionally diverse stakeholders
33

Manager, CB Compliance Monitoring & Testing Resume Examples & Samples

  • Provide assistance to staff in their development of monitoring and testing activity procedures, designed to detect and mitigate regulatory violations and control gaps using a risk-based approach
  • Perform detailed review of working paper files and supporting documentation related to all Compliance monitoring activities and select testing engagement files, including an assessment of whether appropriate conclusions have been made and adequately supported
  • Prepare the final report to management, discuss the report with management, and ensure that appropriate remediation plans and dates are obtained from management on a timely basis
  • Proactively deliver regular updates to the Senior Manager regarding program status and issues identified
  • Establish and maintain strong working relationships with key stakeholders in order to meet challenging deliverables within stringent timelines
  • Provide support for stakeholders with respect to their understanding of the Compliance monitoring activities program framework
34

AML Compliance Risk Assessment Monitoring & Testing Supervisor Resume Examples & Samples

  • Individual should have 6+ years of self-testing and/or audit experience
  • Strong working knowledge of banking products
  • Clients and geographical locations
  • BSA/AML and OFAC regulatory requirements
  • Team player with strong interpersonal skills, strong analytical skills, and verbal/writing skills
  • Ability to multitask and work under pressure
35

Senior Manager, Monitoring & Testing Resume Examples & Samples

  • Champions a customer focused culture to deepen client relationships and leverage broader Bank relationships, systems and knowledge
  • Establish a risk based second line regulatory compliance testing program to identify areas of regulatory compliance risk and continuously provides feedback on enhancements to the M&T methodology which includes the compliance universe, risk prioritized assessments, testing cycles, reporting results and more
  • Oversees the Canadian Banking Compliance second line M&T team and work closely with the Directors of Canadian Banking Compliance, Trusts, Tangerine, and Insurance, as well as with senior employees of the various businesses to develop, support and execute the Canadian Banking M&T program
  • Provides advice and counsel to Canadian Banking Businesses with respect to the first line M&T program and procedures
  • Identifies trends and/or gaps across businesses and reports findings with recommendations on how to improve the effectiveness of first line controls to the Director and Senior Management
  • Liaises with Canadian Banking businesses to implement changes to processes or procedures, as required based on testing results
  • Pro-actively identifies potential violations of regulatory requirements, internal policies and procedures, in a timely manner and makes recommendations to mitigate business, compliance and operational risk
  • Works closely with counterparts in Compliance to ensure consistency and alignment on the M&T program and best practices across the organization
  • Builds a high performance environment and implements a people strategy that attracts, retains, develops and motivates their team by fostering an inclusive work environment; communicating vison/values/business strategy and managing succession and development planning for the team
  • Ability to drive success in a high performing, flexible and small team environment
  • Excellent knowledge of Canadian Banking business regulatory compliance requirements
  • Proven experience deploying compliance solutions
  • Strong analytical and communication skills, results orientation and data driven approach in decision making
  • Experience with providing insights to and interacting with the business
  • Experience using analytics to identify areas of risk and opportunities for improvement
  • Understands M&T standards, tools and methodologies behind creating valuable compliance programs
36

IB Compliance Monitoring & Testing Resume Examples & Samples

  • The UK-based IB Compliance Monitoring and Testing (M&T) team is primarily responsible for risk-based regulatory compliance and conduct testing across Barclays Corporate banking. Outcomes of reviews are focused on business practice improvements and not just on routine identification of areas of inconsistency against internal or external requirements. The M&T team is also responsible for validating, reporting and tracking of progress against action plans established to mitigate findings
  • M&T tests the supervisory, administrative and operational controls associated with policies and procedures and independently assesses and reports on areas of potential reputational or regulatory risks. M&T conducts desk reviews, branch/office reviews and thematic reviews
  • Plan for and manage the execution of compliance reviews according to the established review schedule and in accordance with the established review procedures
  • Supporting the development of an annual schedule of reviews based on inputs such as the outcomes of the annual Compliance Risk Assessment, discussions with Product Compliance, MI from previous reviews and own view of risks
  • Identifying the scope and testing approach for reviews, including articulating sampling and test methods
  • Performing compliance reviews to include the following aspects
  • Good knowledge of UK and/or European regulatory rules and regulations and their practical application
  • Good understanding of core Corporate Banking business lines and products
  • The candidate must be motivated, resourceful, detail-oriented, organised, articulate, willing to take responsibility, and comfortable with speaking and responding to concerns and questions regarding each of the areas within the span of responsibility
  • The ability to represent and enforce compliance while considering the needs of the business
  • Proven ability to anticipate and provide pragmatic solutions to complex problems
  • Bachelors Degree or equivalent work experience
  • Compliance experience, regulatory experience or operational risk management/audit experience, ideally with investment banking experience