Regulatory Change Analyst — Compliance Change Lead

The Omidyar Group

Minneapolis (MN)

On-site

USD 75,000 - 110,000

Full time

9 days ago
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Benefits offered by this job

Competitive compensation
Health, dental & vision
401K with company match
Flexible PTO

Job summary

Luminate Bank is centralizing its Regulatory Change Management function within Enterprise Compliance to strengthen oversight of regulatory obligations across all business units.

The Compliance Analyst – Regulatory Change Management is the operational owner of this function: tracking regulatory and GSE changes from identification through confirmed, evidenced implementation; coordinating with business unit leads on scoping, notification, and evidence collection; and supporting risk-tiered

Qualifications

  • Bachelor's degree in a related field, or equivalent combination of education and relevant compliance/regulatory experience.
  • 2+ years of experience in bank regulatory compliance or related risk/audit function.
  • Familiarity with core consumer financial protection laws (TILA/Reg X; RESPA; ECOA; HMDA) and related rules.
  • Experience with GRC/change-management platforms; NComply (NContracts) is a plus.
  • CRCM designation, or working toward one, is preferred.

Responsibilities

  • Monitor regulatory changes and log them in NComply.
  • Log changes and maintain a single enterprise record for all units.
  • Scope changes, assign to BU leads, and document actions and evidence requirements.
  • Issue BU notifications with deadlines and track responses.
  • Maintain examiner-ready notification chains for all changes.
  • Coordinate post-implementation testing and remediation when needed.
  • Support reporting to ECC and Board committees and examination readiness.

Skills

Regulatory compliance
Organizational skills
Written communication
Work independently
CRCM candidate

Education

Bachelor's degree or equivalent

Tools

NComply

Job description

Luminate Bank is centralizing its Regulatory Change Management function within Enterprise Compliance to strengthen oversight of regulatory obligations across all business units.

The Compliance Analyst – Regulatory Change Management is the operational owner of this function: tracking regulatory and GSE changes from identification through confirmed, evidenced implementation; coordinating with business unit leads on scoping, notification, and evidence collection; and supporting risk-tiered

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