Work Location:
United States of America
Hours:
40
Pay Details:
$200,000 - $280,000 USD
TD is committed to providing fair and equitable compensation opportunities to all colleagues. The included salary range for this role takes into account multiple factors that are considered in making compensation decisions. The base pay actually offered may vary based upon candidate's skills and experience, job-related knowledge, licensure and certifications, geographic location, and other specific business and organizational needs. As TD puts career development at the forefront of our colleague experience, it is not typical for an individual to be hired at or near the top of the range for their role.
As a candidate, you are encouraged to ask compensation related questions and have an open dialogue with your recruiter who can provide you more specific details for this role.
Line of Business:
Compliance
Job Description:
The Compliance Director Business Oversight supports the development, implementation, and maintenance of a regulatory compliance
program through compliance activities across various lines of business providing independent compliance risk oversight. This role manages
compliance aspects of the applicable laws and regulations having a significant impact on the operations or strategy of the Company. This
role interacts with senior management, developing, revising, and implementing policies and procedures to ensure compliance with applicable
laws and regulations and effective management and oversight of all regulatory compliance activities.
Depth & Scope:
• Provides people management leadership by hiring the best talent, setting goals, developing staff, managing employee
performance and compensation decisions, promoting teamwork and handling any/all disciplinary actions, as required
• Supports the development, maintenance and continuous enhancement of programs designed to provide effective,
independent regulatory compliance risk management and oversight of business line(s) supported
• Manages regulatory change and provide trusted and reliable reporting, advice and opinion to senior leadership and the
Boards on the state of regulatory compliance risks, controls and outcomes
• Works closely with business leaders to develop and operationalize the business plan and deliver on Compliance programs
across the bank, additionally provides oversight on risk assessment process
• Grows team expertise to align with business/enterprise demand and direction; assess team skills and capabilities and
continually looks for ways to provide and enhance the value delivered
• Acts as a Compliance executive lead on various projects, overseeing and/or coordinating a diverse group of compliance
professionals, project managers, analysts, business and corporate function specialists, risk and control partners, and other
stakeholders
• Coordinates with regulators from the Office of the Comptroller of the Currency (OCC), Federal Reserve Bank (Fed),
Consumer Financial Protection Bureau (CFPB), Office of Supervision of Financial Institutions (OSFI) and internal audit to
ensure compliance
• Aids in development and enhances a scalable compliance program with effective program elements that mitigate areas of
compliance risk and establish sustainable controls commensurate with the risk appetite and growth of the Bank and its
relevant subsidiaries
• Provides seasoned advice and counsel for executive business partners as they pertain to compliance for new business
initiatives and compliance issue resolution
• Serves as Compliance owner or resource on projects involving most critical and complex laws and regulations that have a
significant impact on the operations or strategy of assigned LOBs
• Oversees the development of internal processes to identify and manage compliance risks
• Manages the review of trend analyses of RIMS, Implementation, and self-monitoring reports for assigned teams to ensure
department standards are met
• Oversees the planning, creation and maintenance of Corporate compliance database(s) to collect, manage and report
information required by management
• Oversees the resolution of compliance-related problems encountered by various areas of the Company as related to the most
critical laws and regulations
• Represents Department or Chairs various Company Committees to address activities that are impacted by compliance laws
and regulations
Education & Experience:
• Bachelor's degree or progressive work experience in addition to experience below
• 10 years related experience required
• Certified Regulatory Compliance Manager (CRCM), law degree, regulatory, or risk management experience a plus
• Extensive Operational knowledge as pertains to implementation of regulatory requirements
• In-depth knowledge of financial services regulatory industry practices
• Strong management experience leading regulatory compliance activities
• Strong Management skills in the development and mento
Location: New York, NY
Posted: Oct. 7, 2024, 9:33 a.m.
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