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Regulatory Compliance Senior Associate

As a Regulatory Compliance Risk Senior Associate, you will get the opportunity to grow and contribute to our banking clients' business needs by providing in-depth technical knowledge on emerging regulations and help organizations leverage efficiencies within the Risk, Regulatory Compliance & Controls Practice – all with the resources, environment, and support to help you excel. You’ll collaborate with teams to provide comprehensive compliance optimization strategies, to help clients remediate regulatory gaps, streamline operations and limit risk exposure.

From day one, you’ll be empowered by the greater Risk team to help clients make strategic decisions that will help them achieve their vision and help you achieve more, confidently. 

Your day-to-day may include:

  • Participate in the creation and tracking of proposals, engagement work plans, timelines, budgets, project management, resource allocations, statements of work, thought leadership contents, and other business development activities as appropriate
  • Research, analyze, and understand current marketplace issues and emerging risk and regulatory requirements and guidance
  • Conduct engagement activities including transactional testing, policy, and procedure review, meet preparation, walkthroughs, etc.
  • Develop and execute work plans in alignment with project objectives, client expectations, and defined timelines
  • Facilitate client meetings, performing data analysis and document review, and articulating findings in a written report.
  • Complete workpapers and final deliverables including but not limited to gap assessments, test scripts, planning memos, evaluation memos, preliminary and final report
  • Manage and minimize engagement risk by proactively identifying issues and recommended courses of remediation
  • Maintain active communication with clients to manage expectations, ensure satisfaction, and become a trusted business partner
  • Other duties as assigned
  • Conduct testing activities for Consent Order Validation, Issue Management, and independent monitoring engagements, responsible for execution of testing to validate client’s issues identified and meet requirements set forth by regulators.

You have the following technical skills and qualifications:

  • Bachelor’s degree in Accounting, Economics, Finance, Information Technology, Risk Management, or related field
  • Minimum 2 years of related work experience working in compliance, risk management or internal audit departments at commercial/retail banks or other financial institutions, or in a similar consulting practice
  • Proven technical ability handling compliance issues, CRCM certification preferred and/or former commissioned bank examiner with the FDIC, FRB, OCC, or CFPB preferred
  • Compliance risk management, audit, or risk management, background highly preferred
  • Knowledge of consumer protection principles, compliance management systems, compliance risk management, consumer protection laws in the banking industry (UDAP/UDAPP, TILA, ECOA, RESPA, Flood Insurance, HMDA, FDCPA, FCRA, UDAAP, TISA, EFTA, EFAA, SCRA, MLA, Privacy, etc.)
  • Understanding of banking regulatory and risk hot topics focus areas, and concepts such as Fair Lending, Unfair or Deceptive Acts or Practices, Truth in Lending, Truth in Savings, Fraud Prevention, Third Party Risk Management, Regulatory Change Management, Enterprise Risk Management, Credit Risk, and Capital and Liquidity Management, etc.
  • Knowledge and understanding of consumer financial products, including transaction accounts, savings deposits, time deposits, prepaid cards, mortgages, home equity loans/lines of credit, credit cards, auto loans, student loans, personal loans/lines of credit, and overdraft services
  • Experience with operational processes, systems, and controls relating to the development, marketing, origination, servicing, and termination of consumer financial products at banks and financial institutions of various types and sizes
  • Practical work experience involving compliance testing/monitoring, compliance audits, compliance training, controls testing and data analytics at banks and financial institutions of various types and sizes
  • Familiarity with CFPB, FDIC, FRB, OCC, and NCUA compliance examination procedures
  • Understanding of the risk-based approach and methodologies used across the different stages of an internal audit including Risk Assessment, Scoping, Audit Work Program Development, Design Assessment, Operating Effectiveness Testing, Root Cause Analysis, Reporting and Issue Validation
  • Strong oral communication, written communication, organizational, technical, and analytical skills
  • Excellent teamwork and collaboration skills
  • Can travel as needed
  • Consistent with the firm’s hybrid work model, this position will require in-person attendance at least two days per week, either at a GT office or client site.

 

The base salary range for this position in Manhattan Office only is between $103,700 and $155,500. 

 

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$103700K
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What You Should Know About Regulatory Compliance Senior Associate, Grant Thornton

As a Regulatory Compliance Senior Associate at our Charlotte, North Carolina office, you'll step into a dynamic role where you can truly make a difference for our banking clients. Here, your expertise will shine as you provide in-depth technical knowledge on emerging regulations that shape our industry's future. You'll collaborate with talented teams to devise comprehensive compliance optimization strategies aimed at identifying and closing regulatory gaps, streamlining operations, and reducing risk exposure. From your first day, the supportive Risk team will empower you to guide clients in making strategic decisions aligned with their vision while also enhancing your professional growth. Your responsibilities will include creating and tracking proposals, analyzing marketplace trends, and conducting thorough compliance testing. You’ll facilitate meaningful client meetings, ensuring clear communication and delivering detailed reports on your findings. Keeping a finger on the pulse of regulatory changes and client needs will be key to successfully managing engagement risks and expectations. With two or more years in compliance, risk management, or auditing, you’ll leverage your knowledge of banking regulations and consumer protection laws to drive efficiency and innovation. Embodying strong analytical and communication skills, you will play a pivotal role in promoting compliance excellence while working with diverse financial products and engaging with regulatory requirements. This hybrid position allows flexibility, requiring you to be on-site at least two days a week, fostering collaboration within our team and with our clients. Join us to lead change and transform the regulatory landscape while enhancing your career in a supportive and growth-oriented environment!

Frequently Asked Questions (FAQs) for Regulatory Compliance Senior Associate Role at Grant Thornton
What are the main responsibilities of a Regulatory Compliance Senior Associate at our company?

The Regulatory Compliance Senior Associate role focuses on providing in-depth technical knowledge on emerging regulations, collaborating with teams to create compliance optimization strategies, and helping clients identify and remediate regulatory gaps. Key tasks include analyzing market trends, conducting compliance testing, and developing detailed reports for clients.

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What qualifications are required for the Regulatory Compliance Senior Associate position?

Candidates for the Regulatory Compliance Senior Associate position should hold a Bachelor's degree in Accounting, Economics, Finance, Information Technology, Risk Management, or a related field. A minimum of two years of relevant experience working in compliance, risk management, or internal audit, especially in commercial or retail banks, is essential.

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How does the Regulatory Compliance Senior Associate contribute to client success?

By leveraging their expertise, the Regulatory Compliance Senior Associate helps clients make informed decisions that align with their regulatory obligations and business goals. This role involves developing compliance strategies, conducting testing and monitoring, and facilitating client meetings to ensure expectations are managed effectively.

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What skills are essential for a Regulatory Compliance Senior Associate to excel?

Essential skills include strong analytical abilities, exceptional written and oral communication, organizational skills, and effective teamwork. A deep understanding of banking regulations and consumer protection laws is crucial, along with proficiency in compliance testing, monitoring, and data analytics.

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Is travel required for the Regulatory Compliance Senior Associate position?

Yes, the position may require travel as needed, especially for client engagements. However, the firm operates a hybrid work model, requiring in-person attendance at least two days per week, fostering a collaborative work environment.

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Common Interview Questions for Regulatory Compliance Senior Associate
Can you describe your experience with compliance regulations in the banking industry?

Give a detailed overview of your past roles in compliance, focusing on specific regulations you've worked with. Highlight how you implemented solutions to address compliance issues and any challenges you faced.

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How do you stay updated with emerging regulatory changes?

Discuss your methods for keeping current with regulatory changes, such as subscribing to industry newsletters, attending webinars, or participating in professional networks. Emphasize the importance of continual learning.

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What strategies do you employ to manage client expectations?

Talk about your approach to clear communication, setting achievable goals, and providing regular updates to clients. Share examples of how you successfully navigated complex situations.

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Can you walk us through a compliance audit you conducted?

Provide a structured account of a specific compliance audit, describing the objectives, your methodology, findings, and how you presented these to stakeholders. Highlight how your analysis led to actionable recommendations.

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How do you handle conflicting regulatory requirements from different authorities?

Discuss your analytical approach in prioritizing compliance and finding practical solutions to align with multiple requirements while maintaining client operations.

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What tools and technologies have you used for compliance testing and monitoring?

Mention specific tools or software you have used in your previous roles, explaining how they assisted in compliance tracking, data analysis, and reporting.

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Describe your experience working with cross-functional teams.

Share examples of how you collaborated with other departments (like legal or finance) on compliance initiatives, emphasizing teamwork and communication.

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How do you assess and mitigate risks during a compliance engagement?

Explain your risk assessment process, including identifying potential risks, evaluating their impact, and developing strategies to address them. Use a specific example if possible.

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What is your approach to conducting training on compliance matters?

Talk about how you develop training materials and programs, focusing on engagement and real-world applications. Share feedback from past training sessions and their outcomes.

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Can you discuss a time when you identified a gap in compliance and how you addressed it?

Provide a specific instance where you noticed a compliance gap, detailing your analysis, the actions you took to address it, and the positive impact of your intervention.

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Forget what you’ve come to expect from a career in professional services. At Grant Thornton, we aren’t afraid to do things differently. With 56 offices nationwide and a breadth of public and private companies across a range of industries and aroun...

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Full-time, hybrid
DATE POSTED
April 4, 2025

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