Wealth Risk Oversight Manager
Company: Disability Solutions
Location: Milwaukee
Posted on: October 20, 2024
Job Description:
At Associated Bank we strive to create an inclusive culture
where different perspectives are valued and recognized as strengths
critical to our success. If you thrive in an environment where your
growth and development are encouraged and supported, then
Associated Bank may be the right place for you.Oversee all aspect
of the independent compliance and operational risk management
program ( 2nd line of defense ) specific to the Bank's Wealth,
Trust, and Investment business lines. Areas of direct oversight
will include, but will not be limited to regulatory compliance
advisory and complaint management, compliance and operational
control monitoring and testing, compliance risk assessment, mergers
and acquisitions, regulatory change management, and regulatory exam
management. This position will work closely with business line
operational and risk management to establish and maintain a
comprehensive risk management program in alignment with regulatory
standards and industry best practices. This position is also
required to stay abreast of legislative and regulatory initiatives,
monitoring regulatory changes, understanding industry best
practice, and assessing enterprise applicability, providing timely
technical content for the continued development and maintenance of
the corporate wide Compliance Management Program.This position is
not eligible for Visa sponsorship.Due to work requirements,
candidates must be located within commuting distance of Milwaukee
or Green Bay, WI.We invite you to view the opportunity below.As a
Wealth Risk Oversight Manager, you will:
- Evaluate the soundness of risk methodology and stress testing
assumptions, accuracy of risk measurement, and appropriateness of
risk limits.
- Assist in the design, implementation and evaluation of an
independent assessment of all aspects of trust and investment
services risks.
- Source internal data and conduct statistical analysis in
support of monitoring activities including risk limit levels.
- Develop, execute and maintain a risk-based compliance and
operational risk oversight and monitoring program, used to measure
performance against requirements for compliance with applicable
corporate, regulatory, banking, and related financial services laws
,regulations, guidance, and best practices, within areas of
assigned responsibility.
- Develop and maintain in-depth knowledge of business, industry
and related risk management requirements / best practices / trends
and legislative/ regulatory directives and guidance.
- Partner with Wealth, Trust, Associated Investment Services
(AIS), Finance, Credit, and Enterprise Risk Management to promote
an effective risk management framework and provides advice and
guidance to assigned on implementation of the risk framework,
including effective challenge.
- Review risk metrics and processes to identify potential
emerging risks or areas of the governance framework requiring
enhancement as well as opportunities for strengthening
practices.
- Identify where corrective actions are required and escalates
per guidelines; ensure corrective action is taken as
necessary.
- Lead and integrate the monitoring, measurement & reporting on
the status of the market risk governance program to internal &
external stakeholders.
- Aid in the preparation of presentation materials for the Board
and senior management risk committees.
- Represent the risk program / governance structure during
internal/external regulatory audits and/or examinations.
- Consult with management in the development of corporate
policies and procedures to ensure compliance with relevant laws and
regulations.Education
- Bachelor's Degree or equivalent combination of education and
experience in Risk Management, Business, or Finance or related
field. Required
- Master's Degree in Business or Finance. PreferredExperience
- 8+ years of experience in Wealth, Trust, Regulatory Operations
or Wealth Risk Management. Required
- 12+ years of experience in Wealth, Trust Regulatory Operations
or Wealth Risk Management. PreferredCertifications
- Certification in Risk Management (CRMA). Preferred
- CFIRS Certified Fiduciary & Investment Risk Specialist.
Preferred
- Certified Trust Operations Professional (CTOP). Preferred
- Certified Trust and Financial Advisor (CTFA). Preferred
- Wealth Management Certified Professional (WMCP). PreferredIn
addition to core traditional benefits, we take pride in offering
benefits for every stage of life.
- Retirement savings including both 401(k) and Pension
plans.
- Paid time off to volunteer in your community.
- Opportunities to connect with others through our
diversity-focused Colleague Resource Groups.
- Competitive salaries with professional development and
advancement opportunities.
- Bonus benefits including well-being programs and incentives,
parental leave, an employee stock purchase plan, military benefits
and much more.
- Personal banking, loan, investment and insurance
benefits.Associated Bank serves more than 120 communities
throughout Wisconsin, Illinois and Minnesota and we consider our
colleagues critical to our continued success. See why our
colleagues continually vote us a best place to work in the Midwest.
Join our community on Facebook, LinkedIn and X.Compliance
StatementAssociated Bank is an equal opportunity employer committed
to creating a diverse workforce. We support a work environment
where colleagues are respected and given the opportunity to perform
to their fullest potential. We consider all qualified applicants
without regard to race, religion, color, sex, national origin, age,
sexual orientation, gender identity, disability or veteran status,
among other factors.Fully complies with all applicable enterprise
policies and procedures. Acts in compliance with all applicable
laws and regulations as outlined in training materials, including
but not limited to Bank Secrecy Act. Responsible for reporting
suspicious activity to Financial Intelligence. Responsible to
report all customer complaints as prescribed and procedure
violations to management or HR.Responsible to report ethical
concerns as needed to Associated Bank's anonymous Ethics
Hotline.Associated Bank provides additional assistance to
individuals with disabilities throughout the application &
interview process. Please contact
leavesandaccommodations@associatedbank.com if you need an
accommodation at any time during the interview process.Associated
Banc-Corp is an Affirmative Action and Equal Opportunity Employer.
Associated Banc-Corp participates in the E-Verify Program. E-Verify
Notice English or Spanish. Know Your Right to Work English or
Spanish.Associated Bank is Pay Transparency compliant.
Keywords: Disability Solutions, Hammond , Wealth Risk Oversight Manager, Executive , Milwaukee, Indiana
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