
Risk & Compliance Issue Coordinator
Are you a detail-oriented individual with a passion for risk management and compliance? U.S. Bank Corp is seeking a highly motivated Risk & Compliance Issue Coordinator to join our team. In this role, you will be responsible for identifying, assessing, and coordinating the resolution of risk and compliance issues within the organization. We are looking for someone who is able to work independently and collaborate effectively with various teams to ensure compliance with regulatory requirements. If you have a strong understanding of risk management principles and possess excellent communication skills, we encourage you to apply for this exciting opportunity. Join us at U.S. Bank Corp and make a meaningful impact on our organization and the financial industry as a whole.
- Identify and assess potential risk and compliance issues within the organization.
- Coordinate with various teams to develop action plans for resolving identified issues.
- Monitor and track progress of issue resolution, ensuring timely and effective resolution.
- Conduct thorough research and analysis to determine root causes of issues and provide recommendations for improvement.
- Stay up-to-date on regulatory requirements and changes in the industry to ensure compliance.
- Communicate and collaborate with stakeholders at all levels to ensure understanding and alignment on issue resolution.
- Develop and maintain documentation related to risk and compliance issues and their resolution.
- Participate in the development and implementation of risk management strategies and initiatives.
- Perform regular audits and assessments to identify potential risks and compliance gaps.
- Provide training and support to employees on risk management and compliance best practices.
- Adhere to all company policies and procedures related to risk management and compliance.
- Continuously evaluate and improve processes and procedures to enhance risk management and compliance efforts.
- Prepare reports and presentations for management on risk and compliance issues and their resolution.
- Foster a culture of risk awareness and compliance within the organization.
- Collaborate with external auditors and regulators to ensure compliance and address any identified issues.
Bachelor's Degree In Business Administration, Finance, Or A Related Field.
Minimum Of 3 Years Of Experience In Risk Management And Compliance, Preferably In The Banking Industry.
Knowledge Of Federal And State Banking Regulations, As Well As Industry Standards And Best Practices.
Strong Analytical Skills And Ability To Identify, Assess, And Mitigate Potential Risks.
Excellent Communication And Interpersonal Skills, With The Ability To Collaborate With Cross-Functional Teams And Effectively Communicate Complex Issues To Stakeholders.
Process Improvement
Project Management
Data Analysis
Problem Solving
Compliance Management
Risk assessment
Risk Mitigation
ISSUE RESOLUTION
Regulatory compliance
Policy Development
Audit Preparation
Communication
Emotional Intelligence
Leadership
Time management
Interpersonal Skills
Critical thinking
Teamwork
collaboration
Adaptability
Problem-Solving
According to JobzMall, the average salary range for a Risk & Compliance Issue Coordinator in Minneapolis, MN, USA is $62,000 - $92,000 per year. This can vary depending on factors such as experience, qualifications, and the specific company or industry.
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U.S. Bancorp is an American bank holding company based in Minneapolis, Minnesota, and incorporated in Delaware. It is the parent company of U.S. Bank National Association, which is the 7th largest bank in the United States.

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