Description
Responsibilities include but are not limited to:
- Independently perform Compliance testing Activities for Valley businesses in adherence with regulatory standards, documenting results accurately and ensuring quality and timely execution.
- Complete Compliance Risk Assessment Processes for businesses supported including performing analysis needed.
- Monitor and follow up on remediation actions arising from testing and Risk Assessment activities and confirm that corrective action has been effectively implemented.
- Collaborate with Compliance and business stakeholders to provide guidance on Compliance processes, gather information and discuss compliance issues and related opportunities for process improvements.
- Prepare compliance monitoring metrics and provide reports to management, identifying trends or areas requiring further attention.
- Monitor changes in relevant banking regulations.
- Contribute to training and documentation by drafting and updating compliance procedures and training materials.
- Prepare responses for Internal Audit or regulatory examinations and outside agencies, including the OCC and CFPB.
- Update relevant systems (e.g., AuditBoard) with testing workpapers, results, and status updates, ensuring records are organized and accessible for review.
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