Compliance Officer I (closed)
Manages compliance efforts for the Company as they relate to Fair Lending and
other banking regulatory and policy requirements. Performs ongoing statistical
analysis of loans to identify significant variances or emerging issues relating
to Fair Lending compliance regulations (Regulation C, Regulation B and FHA) and
standards. Completes special and ad hoc reviews and compliance projects.
Analyzes existing and proposed legislation and helps businesses develop and
implement procedures to meet these requirements. Validates controls or project
plans to facilitate compliance with laws, rules and regulations. Assists with
implementation or risk-based monitoring and testing
BA/BS, MBA or professional
certification preferred. 3-5 years relevant product/financial services and/or
auditing or compliance experience preferred. Thorough knowledge of Financial
Services rules and regulations. Demonstrated problem solving and analytical
ability, and strong oral and written communication skills.
In order to be considered for this opportunity, you must apply online. To apply please visit our career page at: http://jobs.bnymellon.com/job/New-York-Compliance-Officer-I-Job-NY/2403689/
BNY Mellon is an Affirmative Action/Equal Opportunity Employer.