Lead, Compliance Advisory

Jobtailor

Town of Florida (NY)

On-site

USD 120,000 - 180,000

Full time

4 days ago
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Job summary

Jobtailor is seeking a senior compliance professional in the United States to advise Credit Risk Solutions and the Alternative Data business on U.S. regulatory obligations.

You will partner with product teams to embed compliance, support change management, and lead issue remediation across a matrixed organization. The role requires strong communication skills, policy development, and the ability to translate complex regulations into actionable guidance for legal, risk, technology, and product

Qualifications

  • Bachelor’s degree required.
  • 6+ years in compliance, legal, or risk management within credit or financial services.
  • Knowledge of U.S. state laws and consumer protection regulations.
  • Working knowledge of FCRA, GLBA, UDAAP, and DPPA.
  • Experience advising during product development and mitigating regulatory risks.
  • Experience writing compliance policies and developing training.
  • Experience with Regulatory Change Management and Issue Management procedures.
  • Authorized to work in the United States full-time without sponsorship.

Responsibilities

  • Provide compliance advice to Credit Risk Solutions and Alternative Data on U.S. regulatory obligations.
  • Partner with product teams to identify regulatory requirements and implement controls.
  • Support Regulatory Change Management by assessing impacts and action plans.
  • Support Issue Management and remediation tracking with cross-functional teams.
  • Investigate root causes of compliance issues and define corrective actions.
  • Develop and maintain compliance policies, guidance, and training materials.
  • Communicate complex regulatory concepts to stakeholders across the organization.
  • Work independently in a matrixed organization and report to the Senior Director of Compliance Advisory.

Skills

Regulatory Compliance
FCRA Knowledge
GLBA Knowledge
Project Management
Policy Development
Risk Management
Communication Skills
Root Cause Investigation

Education

Bachelor’s degree

Job description

• Provide compliance advice to Credit Risk Solutions and the Alternative Data business on U.S. regulatory obligations, including FCRA and GLBA
• Partner with internal business clients during product development to identify regulatory requirements, assess compliance risks, and incorporate controls
• Support Regulatory Change Management by assessing impacts of new and changing laws and helping teams execute implementation action plans
• Support Issue Management by helping identify control breaks that may cause harm to customers or consumers
• Investigate root causes of compliance issues and identify corrective actions
• Track corrective action plans and partner with cross-functional stakeholders on issue remediation
• Develop and maintain compliance policies, guidance, and training materials
• Communicate complex regulatory concepts to business, product, legal, risk, technology, and other stakeholders
• Work independently with minimal oversight and influence teams across a matrixed organization
• Report to the Senior Director of Compliance Advisory

Requirements
  • Bachelor’s degree
  • 6+ years of experience in compliance, legal, or risk management within the credit industry or financial services
  • Knowledge of U.S. state laws and consumer protection regulations
  • Working knowledge of FCRA, GLBA, UDAAP, and DPPA
  • Experience providing compliance advice during product development
  • Experience identifying regulatory risks and supporting mitigation
  • Strong project management, analytical, communication, and problem-solving skills
  • Experience writing compliance policies
  • Experience developing compliance training materials
  • Experience applying Regulatory Change Management proceduresExperience assessing regulatory impacts and supporting implementation action plans
  • Experience applying Issue Management procedures, including control-break identification, root cause investigation, corrective action planning, and remediation tracking
  • Applicants must be authorized to work in the United States full-time without employer sponsorship now or in the future
  • Adherence to company policies, sound judgment, trustworthiness, safe working, respectful communication, and protection of confidential and proprietary information
Core Competencies

Demonstrates expertise in U.S. regulatory compliance, particularly with FCRA, GLBA, and consumer protection laws, while effectively managing compliance risks and developing training materials. Proven ability to communicate complex regulatory concepts and collaborate with cross-functional teams to implement compliance strategies.

Highest-signal resume keywords
  • Regulatory Compliance Expertise
  • FCRA Knowledge
  • GLBA Knowledge
  • Project Management Skills
  • Compliance Policy Development
ATS Optimization Keywords
Hard Skills
  • Regulatory Change Management
  • Issue Management Procedures
  • Root Cause Investigation
  • Corrective Action Planning
  • Compliance Risk Assessment
  • Compliance Training Development
  • Analytical Skills
  • Problem-Solving Skills
  • Compliance Advice During Product Development
  • Consumer Protection Regulations Knowledge
Soft Skills
  • Strong Communication Skills
  • Trustworthiness
  • Respectful Communication
  • Sound Judgment
Industry Keywords
  • Credit Industry
  • Financial Services
  • U.S. State Laws
  • Consumer Protection Regulations
  • Compliance Policies
  • Stakeholder Communication
  • Matrixed Organization
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