Compliance Advisory Officer - Training and Documentation

US-TX-Richardson Operations Center
ID
2017-3224
2350 Lakeside Blvd
Category
Compliance & Regulatory

Overview

At Texas Capital Bank, we are driven by a single-minded and unwavering mission: to serve business and the individuals who run them. We use a consultative approach and innovative technologies to develop new ideas that give the bank and our clients a competitive advantage. We partner with our customers to push the boundaries of what’s possible—together.          

Headquartered in Dallas, Texas Capital Bank has offices in Austin, Fort Worth, Houston, Richardson, Plano and San Antonio, and we serve clients in a variety of industries from coast-to-coast.

 

We are on the Forbes Best Banks in America list, and were named a top place to work by The Dallas Morning NewsHouston Chronicle and San Antonio Express-News. For further information, please visit us at www.texascapitalbank.com.

 

The Compliance Advisory Officer provides business lines with expert regulatory advice.

Responsibilities

  • Develop and manage strong working relationships with business units.
  • Assist with development of compliance related training
  • Deliver in person training to various business lines as needed
  • Review and approve marketing  items for regulatory requirements
  • Assist with review of Line of Business procedures for regulatory requirements
  • Create compliance related communications for distribution to bank employees
  • Assist with development and oversight of bank Record Retention Requirements
  • Maintain regulatory compliance policies and update as needed
  • Provide expert regulatory advice, challenge and oversight on compliance matters to business units
  • Serve as compliance representative and advisor for assigned new business initiative and special projects
  • Provide status reports on assigned initiatives and special projects
  • Collaborate across Texas Capital Bank Compliance to synthesize and communicate a comprehensive view of regulatory risk to lines of businesses
  • Provide weekly status report of all activities to Manager- Compliance Training and Documentation
  • Stay current on the regulatory environment and expectations through discussions with peers, seminars, webinars, roundtables, bankers associations, etc.
  • Perform other duties as assigned by Corporate Compliance Management and/or Compliance Advisory

Qualifications

  • Bachelor’s degree in Finance, Accounting or Business preferred; or equivalent years of experience
  • Specific knowledge of risk management, bank operations, products and services, or regulation
  • Certification or experience in audit, risk or compliance preferred
  • Strong communication and collaboration skills
  • Ability to multi-task in a fast paced environment
  • Extremely detail oriented and comfortable working both independently and in team settings
  • Problem solving skills as well as flexibility and adaptability
  • Ability to write reports and create presentations for executive management and external stakeholders
  • Ability to be influential and establish positive working relationships across the organization
  • Strong Microsoft application knowledge.  Excel, Word, Access, and Outlook
  • Must be able to work at a computer for extended periods of time

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