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Avp, Bsa And Compliance

Bofi Federal Bank

Avp, Bsa And Compliance

San Diego, CA
Full Time
Paid
  • Responsibilities

    ? AVP, BSA and ComplianceJob Locations US-CA-San DiegoBack to Job Search < Job ID 2018-2473Job Type Regular Full-TimeDepartment Governance, Risk & Compliance Description: Born digital, Axos BankTM is publicly traded on the New York Stock Exchange (NYSE: AX). Axos Bank has reinvented the banking model, growing to nearly $10 billion in assets in just 19 years. With a broad and ever-growing range of financial products, Axos Bank is rated among the top 5 online banks in the country! We bring together human insight and digital expertise to anticipate the needs of our customers. Our team members are innovative, technologically sophisticated, and motivated to achieve. This position will report to the First Vice President of Third Party Risk & Compliance and will be primarily responsible for ensuring that assigned Strategic Partnership programs maintain compliance with banking regulations as well as all Bank requirements. This position involves planning, organization and execution of the Bank's day-to-day operational compliance activities related to assigned Strategic Partnership programs.Responsibilities include: Design, implement and oversee compliance monitoring and oversight activities for prepaid, credit, DDA, and business and consumer lending programs of third parties to test the compliance controls and proceduresConduct due diligence on new third parties to help the Bank make risk-based strategic decisions on new productsReview new third party programs presented by partners to ensure they fit within Banks strategic direction and risk mitigationsPerform reviews and oversee personnel responsible for reviewing third party marketing materials for regulatory and Visa/Mastercard compliance, including identifying any UDAAP concernsComplete Suspicious Activity Report (SAR) investigations when needed to ensure they are prepared completely and accurately, and all completed forms are filed with the appropriate government agency within the time frame mandated by RegulationEnsure 314(a) requests are completed and notifications to FinCEN are completed within the time frame mandated by regulation Provide appropriate documentation and/or information when communicating with Law Enforcement Assist in educating various business units and third parties on risk and compliance, including but not limited to BSA/AML, due diligence/underwriting, multiple regulations, and applicable best practicesWork directly with various business units and third parties to ensure risk assessments are completed in compliance with regulatory requirements and bank policiesMonitor changes in applicable laws, regulations and industry related news or events for all relevant subject matter and completes gap analyses to determine impact, if any, on Bank operations, processes and procedures and recommend changes as neededProduce management information reports for third party relationships and for senior management, designated committees and Board of DirectorsCompile the preparation work for regulatory exams and external audits; manage remediation efforts as applicable Key Skill Sets or Knowledge Requirements: Ability to read, analyze and interpret government regulations and other legal documents, as applicableExperience managing multiple and/or shifting priorities, producing professional and accurate work under time constraintsStrong analytical, research and problem solving skills and the ability to analyze data Excellent written and verbal communication skills and experience with internal and external partiesDependability and willingness to take responsibility for ones own work productStrong PC technical skills and proficiency in MS Office Desired Career Experience & Education Requirements: Experience with payment products, especially credit cards and consumer loan productsKnowledge of key banking regulations, especially the CARD Act and OCC 2013-29: Third Party Risk Management, strongly preferredStrong knowledge of consumer (non-mortgage) lending regulations and best practices Experience working with third party service providers, alternative financial services, and/or FinTech companies 1+ year(s) managerial experienceCompliance and risk management oversight or audit experienceBachelor's degree in business related field and/or 3 or more years of equivalent experience in Banking, Compliance and Risk Management, BSA/AML, Legal or Audit fieldsApply directly for consideration as we are not using any outside agencies for any of our openings Job Functions and Work Environment: While performing the duties of this position, the employee is required to sit for extended periods of time. Manual dexterity and coordination are required while operating standard office equipment such as computer keyboard and mouse, calculator, telephone, copiers, etc. The work environment characteristics described here are representative of those an employee may encounter while performing the essential functions of this position. Reasonable accommodations may be made to enable individuals with disabilities to perform the essential functions of this position. Equal Employment Opportunity: Axos Bank is an equal opportunity employer. We are committed to providing equal employment opportunities to all employees and applicants without regard to race, religious creed, color, sex (including pregnancy, breast feeding and related medical conditions), gender, gender identity, gender expression, sexual orientation, national origin, ancestry, citizenship status, military and veteran status, marital status, age, protected medical condition, genetic information, physical disability, mental disability, or any other protected status in accordance with all applicable federal, state and local laws.

  • Industry
    Financial Services