Regulatory QA Lead - Risk & Compliance Testing

Us Bank

Minneapolis (MN)

On-site

USD 105,000 - 124,000

Full time

7 days ago
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Benefits offered by this job

Healthcare (medical, dental, vision)
401(k) and employer-funded retirement
Paid vacation and holidays

Job summary

U.S. Bank is seeking a Compliance Quality Assurance Lead Analyst to oversee testing within the IRRA second line. You will lead testing activities, develop objectives, and report findings to senior management while guiding Analysts.

The role requires a Bachelor's degree (or equivalent), more than six years of experience, and strong communication, project management, and regulatory knowledge. The position offers competitive benefits and location in Minneapolis, MN, with on-site work at multiple

Qualifications

  • Bachelor's degree or equivalent work experience.
  • Typically more than six years of applicable experience.

Responsibilities

  • Lead testing activities and manage reviews under IRRA.
  • Develop test documents and approaches for compliance testing.
  • Communicate testing results to Senior Management with drafts.
  • Coordinate with business lines, risk, compliance and audit professionals.
  • Mentor Analysts and assist in onboarding.

Skills

Bachelor's degree / equivalent
6+ years experience
Communication skills
Project management
Analytical skills
Regulatory / risk competencies

Education

Bachelor's degree or equivalent

Tools

CRCM, CAMS, CIA certifications

Job description

U.S. Bank is seeking a Compliance Quality Assurance Lead Analyst to oversee testing within the IRRA second line. You will lead testing activities, develop objectives, and report findings to senior management while guiding Analysts.

The role requires a Bachelor's degree (or equivalent), more than six years of experience, and strong communication, project management, and regulatory knowledge. The position offers competitive benefits and location in Minneapolis, MN, with on-site work at multiple

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