Corporate Compliance Analyst III
Our client, a large Investment Bank, is seeking to add a Corporate Compliance Analyst III to its team. Our client has an exciting role on its Corporate Compliance team that will be responsible for supporting Corporate Compliance functions in the areas of: Holding Company compliance, Sensitive Persons and FDIC 344.9 oversight.
Analyzes regulations, policies and compliance implementations.
Supports or leads assigned team operations and projects and Corporate Compliance projects.
Interacts within Compliance and across bank with Lines of Business and support groups such as Risk, Inspections and Finance.
This Role
Requirements:
For immediate consideration, please submit your resume to Kyle Marszalek at **********@peakaudit.com.
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