US Compliance Testing Executive Director

BBVA

$230K — $245K *
Finance & Insurance
8 - 10 years of experience
Job Overview by Ladders

Qualifications

  • 10+ years in compliance testing and/or audit roles within financial services
  • 3+ years in a managerial role leading a team
  • Solid knowledge of AML and market integrity regulations including SEC and FINRA
  • Skilled in preparing reports for Senior Management and regulators
  • Experience with multi-disciplinary and multi-geographic team coordination
  • Strong analysis, synthesis, and communication capabilities
  • Spanish language proficiency is a plus

Responsibilities

  • Conduct bi-annual Compliance risk analyses to identify review topics
  • Develop the annual Compliance Testing review plan in collaboration with the US Compliance Head and Corporate team
  • Perform Compliance Testing reviews and supervise team members in documenting results and drafting reports
  • Provide timely updates on activities to management
  • Oversee reports for the Global Compliance Testing Committee to ensure accountability
  • Track and follow up on Compliance Testing action plans and deadlines
  • Identify improvement opportunities and lead the US Compliance Testing team
  • Manage internal and external inquiries related to Compliance

Benefits

  • Generous employee benefits package
  • Eligibility for discretionary bonuses
  • Opportunities for professional growth within a global organization
  • Dynamic work environment in a large, reputable bank
  • Potential for collaboration with international teams
Full Job Description
Job Summary

Within the US Compliance unit of a large global bank, he or she will be in charge of leading the Compliance Testing Unit in the US, which is part of the global Compliance Testing team in BBVA. For this purpose, he or she will conduct the global Compliance Testing program for the US Bank Branch, Broker/Dealer and Global Swap Dealer according to corporate guidelines and methodology, preparing the annual plan, performing reviews and assisting with other Compliance processes such as risk assessments, issue management or reporting, among others.

For all the above, he or she will maintain strong coordination with the corporate team in Madrid.

Essential Duties and Responsibilities

- Conduct a Compliance risk analysis at least twice a year to identify potential topics to review.

- Work with both the US Head of Compliance and his team, the Corporate Compliance Testing unit in Madrid, and Non-Financial Risk to develop the annual Compliance Testing review plan. Submit the plan to appropriate levels of Management for approval.

- Conduct Compliance Testing reviews in accordance with the plan and supervise the team member reviews (i.e. document test results in testing templates, draft test reports, report findings to management, support the definition of management actions plans with stakeholders to address findings, etc.)

- Provide timely information on his or her activities to the appropriate levels of the organization.

- He or she will be accountable for the reviews performed and those of the team members in the unit. To this end, he or she will oversee the reports to be submitted to the Global Compliance Testing Committee.

- Follow up on action plans resulting from Compliance Testing reviews, tracking committed deadlines and raising and escalating any delays.

- Identify opportunities and propose continuous improvement ideas for the Compliance Testing function.

- Lead the US Compliance Testing team to achieve the objectives of the function.

- Manage and, as applicable, respond to both internal and external requests and inquiries in coordination with the hierarchy and other team members of US or Corporate Compliance function. This includes requests or inquiries from regulatory authorities.

Requisites for the position

- At least 10 years in compliance testing and/or audit roles in the financial industry, with at least 3 years in a managerial role leading a team.

- Knowledge of AML, market integrity regulations (SEC, FINRA, CFTC, NFA), and prudential regulations (FRB, DFS)

- Experienced in the preparation of reports to Senior Management, as well as to regulators and supervisors.

- Registrations (i.e., SIE, Series 7, 24 and/or Series 3 registration) preferred.

- Experience in coordinating with multi-disciplinary and multi-geographic teams.

- Strong analysis and synthesis capacities.

- Strong oral and written communication skills.

- Goal-oriented.

- Leadership and self-organization skills in a dynamic environment.

- Spanish is a plus.

With respect to this position in our New York Office, the expected base salary ranges from $230,000 to $245,000. It is not typical for offers to be made at or near the top of the range. Salary offers are based on a wide range of factors including relevant skills, training, experience, education, and, where applicable, certifications obtained. Market and organizational factors are also considered. In addition to salary and a generous employee benefits package, successful candidates are eligible to receive a discretionary bonus.

*Employment eligibility to work with BBVA in the U.S. is required as the company will not pursue visa sponsorship for these positions

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