
Risk & Compliance Issue Coordinator
Are you passionate about protecting financial institutions from potential risks and ensuring compliance with industry regulations? Look no further! U.S. Bank Corp is currently seeking a highly organized and detail-oriented Risk & Compliance Issue Coordinator to join our team. In this role, you will be responsible for identifying potential risks, monitoring compliance with internal policies and external regulations, and coordinating the resolution of any issues that may arise. As the ideal candidate, you will have a strong understanding of risk management and compliance principles, excellent communication skills, and the ability to work collaboratively with various teams. If you are ready to take on a challenging and rewarding role in the banking industry, we encourage you to apply today.
- Identify potential risks within the financial institution and its operations.
- Monitor and evaluate compliance with internal policies and external regulations.
- Coordinate the resolution of any identified issues or non-compliance.
- Develop and maintain a comprehensive understanding of risk management and compliance principles.
- Conduct regular risk assessments and reporting to management.
- Work collaboratively with various teams including legal, regulatory, and operational teams to ensure compliance.
- Stay up-to-date with industry regulations and trends and provide recommendations for improvement.
- Develop and implement policies and procedures to mitigate potential risks and ensure compliance.
- Communicate and educate employees on risk management and compliance best practices.
- Maintain accurate and up-to-date records of risk assessments, compliance actions, and issue resolutions.
- Provide support and guidance to other teams and departments on risk and compliance related matters.
- Conduct trainings and workshops on risk and compliance topics.
- Participate in internal and external audits and examinations.
- Collaborate with external stakeholders, such as regulatory agencies and auditors, to address any compliance issues.
- Proactively identify potential areas of improvement and make recommendations to enhance risk management and compliance practices.
Bachelor's Degree In Business Administration, Finance, Or A Related Field
Minimum Of 3 Years Of Experience In Risk Management Or Compliance, Preferably In The Banking Industry
Strong Knowledge Of Regulatory Requirements And Industry Best Practices
Excellent Communication And Interpersonal Skills, With The Ability To Work With Diverse Teams And Stakeholders
Detail-Oriented And Analytical Mindset, With The Ability To Identify Potential Risks And Develop Effective Mitigation Strategies
Process Improvement
Communication Skills
Project Management
Data Analysis
Problem Solving
Risk assessment
Issue management
Legal Compliance
Compliance monitoring
Regulatory Knowledge
Policy Review
Audit Coordination
Communication
Conflict Resolution
Emotional Intelligence
Leadership
Time management
creativity
Teamwork
Adaptability
Problem-Solving
According to JobzMall, the average salary range for a Risk & Compliance Issue Coordinator in Charlotte, NC, USA is $60,000-$85,000 per year. This salary can vary depending on factors such as experience, education, and the specific company or industry the coordinator is working in. Additionally, bonuses and other benefits may also contribute to the overall compensation for this role.
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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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