Manager, Regulatory Compliance

🕒 March 8

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Logo of CrossCountry Mortgage, LLC

CrossCountry Mortgage, LLC

5001 - 10000 employees

💸 Finance

💰 $400M Debt Financing on 2021-11

Finance

CrossCountry Mortgage, LLC is one of America’s leading retail mortgage lenders, providing a range of mortgage solutions for homebuyers, homeowners looking to refinance, and those seeking home equity loans. They offer a comprehensive suite of services including home purchase loans, mortgage refinancing, and home equity lines of credit (HELOC). The company prides itself on helping clients navigate the home buying process with ease, whether they are first-time buyers or seasoned investors. Known for their competitive interest rates and efficient loan processing, CrossCountry Mortgage aims to support their clients in achieving their home ownership and financial goals.

📋 Description

• Overseeing and monitoring CrossCountry Mortgage’s regulatory change management program • Conducting risk assessments and implementing compliance policies and procedures • Continuously monitoring new and upcoming regulatory activities impacting CrossCountry Mortgage • Assessing the impact of regulatory changes and working with appropriate stakeholders to implement necessary adjustments • Assisting in the development and execution of action plans in response to new regulations • Managing CCM’s compliance regulatory change management program • Assisting in the risk management lifecycle • Preparing and presenting detailed compliance reports to executive and senior management teams • Collaborating with internal teams and key stakeholders • Providing guidance and training to employees on regulatory requirements • Serving as the point of contact for impacted organizational stakeholders • Tracking and documenting impacted departmental assessments of regulatory change updates • Serving as the primary point of contact for internal and external audits and examinations

🎯 Requirements

• Bachelor's degree and/or equivalent combination of education/experience • Minimum 5 years’ experience within a financial institution with a minimum of 3 years’ risk management or compliance experience • Experience with regulatory change management and compliance risk assessment • Working knowledge of mortgage lending operations (processing, underwriting, closing, QA) • Encompass and Mavent experience, preferred • Experience and/or proficiency with compliance monitoring tools and regulatory tracking systems, JIRA is preferred • Fees compliance experience, a plus • Working knowledge of federal and state mortgage lending regulations, including but not limited to Dodd Frank Wallstreet Reform Act, QM/ATR, RESPA, TILA, ECOA, HMDA, FCRA, GLBA, Fair Lending, UDAAP, and SAFE Act as well as marketing-focused regulations such as TCPA, TSR, and the CAN-SPAM Act • Excellent project management, prioritization, and time management skills • Excellent analytical and problem-solving skills to interpret complex regulations and assess impact to the organization • Excellent communication, management, and leadership skills to effectively collaborate with stakeholders at all levels • Proficient with Microsoft Office Suite (Word, Excel, PowerPoint, and Outlook)

🏖️ Benefits

• medical • dental • vision • 401K • company-provided short-term disability • employee assistance program • wellness program

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