Senior Manager, Risk & Regulatory Compliance

Forvis Mazars, LLP

New York (NY)

On-site

USD 140,000 - 190,000

Full time

9 days ago
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Job summary

Forvis Mazars, LLP seeks a Senior Manager to lead regulatory compliance engagements for community banks, credit unions, regional financial institutions, and other financial services organizations.

This client-facing role requires broad banking regulatory compliance experience, strong judgment, and the ability to manage engagement teams, staff development, and relationships with executives, boards, regulators, and advisors.

Qualifications

  • Bachelor's degree in Accounting, Finance, Business, Risk Management, or a related field.
  • 8+ years of experience in banking regulatory compliance, risk management, internal audit, or financial services consulting.
  • Experience across multiple areas including regulatory compliance, CMS, consumer lending, fair lending, CRA, HMDA, UDAAP/UDAP, BSA/AML, regulatory examinations, remediation, risk assessments, internal audit, third-party risk management, or fintech/banking-as-a-service compliance.
  • Demonstrated experience leading regulatory compliance programs, risk initiatives, audits, or consulting engagements.
  • Travel ability based on client and business needs.

Responsibilities

  • Lead regulatory compliance consulting, internal audit, testing, and remediation engagements.
  • Serve as primary relationship contact for assigned clients.
  • Establish engagement scope, workplans, budgets, timelines, and staffing requirements.
  • Monitor engagement economics, delivery quality, and client satisfaction.
  • Communicate findings and recommendations to executives, boards, and regulators.
  • Identify emerging client needs and coordinate resources across the firm.
  • Build and maintain trusted relationships with financial institution executives and stakeholders.

Skills

Regulatory compliance
Team leadership
Communication skills
Client relationship management
Regulatory examinations

Education

Bachelor's degree in Accounting, Finance, Business, Risk Management, or related field

Job description

General information

Name

Senior Manager, Risk & Regulatory Compliance

Posting Title

Senior Manager, Risk & Regulatory Compliance

Ref #

2237529

Date Published

Wednesday, September 9, 2026

City

Atlanta

State

Georgia

Country

United States

Job Category

Risk Advisory

Advertised Location

US-FL-Boca Raton, US-FL-Jacksonville, US-FL-Orlando, US-FL-Tampa Bay, US-GA-Atlanta, US-NJ-Iselin, US-NY-New York

Working time

Full Time

Description & Requirements

Forvis Mazars is seeking an experienced Senior Manager, to join our Middle Market Risk & Regulatory practice. This individual will lead regulatory compliance engagements for community banks, credit unions, regional financial institutions, and other financial services organizations.

The ideal candidate will bring broad banking regulatory compliance experience, strong technical judgment, and the ability to manage complex client relationships and engagement teams. Areas of experience may include consumer compliance, compliance management systems (CMS), fair lending, BSA/AML, lending and deposit compliance, regulatory examinations, compliance testing, and regulatory remediation.

This is a client-facing leadership role with responsibility for engagement execution, technical quality, staff development, client relationship management, proposal development, and practice growth. The Senior Manager will work closely with client executives, boards, regulators, auditors, and Forvis Mazars practice leaders to provide practical, risk-based solutions to complex regulatory matters.

What You Will Do:
Engagement and Client Leadership
  • Lead complex regulatory compliance consulting, internal audit, testing, and remediation engagements.
  • Serve as a primary relationship contact for assigned clients.
  • Establish engagement scope, workplans, budgets, timelines, and staffing requirements.
  • Monitor engagement economics, delivery quality, and client satisfaction.
  • Communicate findings and recommendations to executive management, boards, audit committees, and regulators.
  • Identify emerging client needs and coordinate appropriate resources across the firm.
  • Build and maintain trusted relationships with financial institution executives and other key stakeholders.
Regulatory Compliance and Risk Management
  • Lead compliance reviews, risk assessments, gap analyses, and program evaluations.
  • Assess the design and effectiveness of Compliance Management Systems.
  • Advise clients on regulatory expectations, emerging risks, and leading practices.
  • Evaluate and enhance policies, procedures, controls, monitoring programs, and governance structures.
  • Oversee compliance testing and monitoring activities.
  • Lead regulatory remediation and corrective action initiatives.
  • Support regulatory change management and implementation efforts.
Technical Review and Quality
  • Provide technical leadership and review across regulatory compliance engagements.
  • Perform engagement quality reviews and other technical reviews, as appropriate.
  • Evaluate complex findings, conclusions, and recommendations for technical accuracy and practical applicability.
  • Promote consistency, quality, and risk-based execution across engagement teams.
  • Consult with engagement leaders and clients on complex or emerging regulatory matters.
  • Support the development and maintenance of methodologies, tools, templates, and technical guidance.
Lending, Deposit, and Fair Lending Compliance
  • Lead reviews of consumer lending and deposit compliance programs.
  • Oversee fair lending risk assessments, reviews, and disparity analyses.
  • Evaluate HMDA processes, controls, data integrity, and reporting.
  • Assess lending operations for compliance, fair lending, and fair banking risks.
  • Advise clients on CRA program governance, risk management, and regulatory readiness.
  • Provide guidance regarding UDAAP/UDAP, complaints, and consumer protection risks.
BSA/AML and Regulatory Programs
  • Lead or support BSA/AML program assessments, independent reviews, and remediation efforts.
  • Evaluate enterprise and business-line risk assessments and control environments.
  • Assess controls related to higher-risk customers, products, services, transactions, and geographies.
  • Advise management and boards regarding program governance, regulatory expectations, and emerging risks.
Examination, Audit, and Remediation Support
  • Assist clients in preparing for regulatory examinations and internal or external audits.
  • Advise management on examination strategy, document production, and responses to regulatory inquiries.
  • Evaluate findings, action plans, and remediation efforts.
  • Facilitate communication among management, boards, regulators, internal auditors, and external auditors.
  • Lead validation and sustainability reviews of completed corrective actions.
People Development and Practice Growth
  • Lead, coach, and develop engagement teams.
  • Provide timely feedback and support the professional development of managers, consultants, and associates.
  • Assist with workforce planning, staffing, recruiting, and performance management.
  • Develop proposals, scopes of work, presentations, thought leadership, and client solutions.
  • Participate in business development activities and cultivate new and existing client relationships.
  • Represent Forvis Mazars at industry events, conferences, and professional associations.
  • Contribute to strategic practice initiatives, service development, and market expansion.
Minimum Qualifications:
  • Bachelor's degree in Accounting, Finance, Business, Risk Management, or a related field.
  • 8+ years of experience in banking regulatory compliance, risk management, internal audit, regulatory affairs, or financial services consulting, including some experience advising clients in a consulting, advisory, or professional services capacity.
  • Experience across multiple areas including regulatory compliance, compliance management systems, consumer compliance, compliance testing and monitoring, fair lending, CRA, HMDA, UDAAP/UDAP, BSA/AML, regulatory examinations, remediation, risk assessments, internal audit, third-party risk management, or fintech/banking-as-a-service compliance.
  • Demonstrated experience leading regulatory compliance programs, risk initiatives, audits, or consulting engagements.
  • Experience managing teams, project timelines, budgets, and deliverables while partnering with executive leadership, regulators, auditors, and other key stakeholders.
  • Strong written, verbal, presentation, and executive-level communication skills.
  • Ability to travel based on client and business needs.
Preferred Qualifications:
  • Relevant certifications such as CRCM, CAMS, AAP, CAFP, CIA, Commissioned Examiner, or other compliance, audit, or risk management designations

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About Forvis Mazars, LLP

Forvis Mazars, LLP is an independent member of Forvis Mazars Global, a leading global professional services network. Ranked among the largest public accounting firms in the United States, our 7,000+ team members deliver assurance, tax, and consulting services to clients in all 50 states and internationally.

With a legacy spanning more than

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