Manager, Regulatory Compliance

🕒 il y a 3 mois

🇺🇸 États-Unis – Télétravail

💵 $84 000 - $95 000 / an

⏰ Temps Plein

🟡 Intermédiaire

🟠 Senior

🚔 Conformité

🗣️🇺🇸🇬🇧 Anglais requis

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Logo of CrossCountry Mortgage, LLC

CrossCountry Mortgage, LLC

5001 - 10000 employés

💸 Finance

💰 €400 000 000 Debt Financing en 2021-11

Finance

CrossCountry Mortgage, LLC est l'un des principaux prêteurs hypothécaires de détail aux États-Unis, proposant une gamme de solutions hypothécaires pour les acheteurs de maison, les propriétaires cherchant à refinancer et ceux souhaitant des prêts sur valeur domiciliaire. Ils offrent une gamme complète de services, y compris des prêts pour l'achat de maison, le refinancement hypothécaire et les lignes de crédit sur valeur domiciliaire (HELOC). La société est fière d'aider ses clients à naviguer facilement dans le processus d'achat de maison, qu'il s'agisse de primo-accédants ou d'investisseurs chevronnés. Connue pour ses taux d'intérêt compétitifs et son traitement efficace des prêts, CrossCountry Mortgage vise à aider ses clients à réaliser leurs objectifs de propriété et financiers.

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

🎯 Exigences

• 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)

🏖️ Avantages

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

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