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Compliance Program Advisor Senior - Corporate & Institutional Banking

One PNC Plaza (PA370)

Position Overview

At PNC, our people are our greatest differentiator and competitive advantage in the markets we serve. We are all united in delivering the best experience for our customers. We work together each day to foster an inclusive workplace culture where all of our employees feel respected, valued and have an opportunity to contribute to the company’s success. As a Compliance Program Advisor Senior, you will be within PNC's Risk, Change, Experience & Strategy (RCES) organization.

This position sits in the RCES - Regulatory Compliance Program Office and is responsible for providing advice and guidance regarding PNC’s Corporate & Institutional Bank’s products and services.  The preferred candidate will have experience supporting commercial lending, treasury management, third-party relationships including fintech, and a deep understanding of OCC, CFPB, and state regulations and guidance for financial crimes and regulatory compliance. 
Primary duties include:

- Analyzing complex business processes and providing appropriate advisory support to executives and management
- Identifying applicable compliance risks for new products and services
- Assisting business units in designing appropriate mitigating controls for identified compliance risks
- Developing, documenting, and conducting ongoing monitoring of third-party service providers, partners, and clients
- Conducting compliance risk assessments for supported business units
- Identifying compliance issues and guiding business partners through issue remediation
- Assisting with regulatory exams, internal audits, and other third-party reviews
- Reporting on compliance risk to senior management, committees, and working groups
- CRCM, CERP, CAMS or other professional designation highly recommended

This is a remote position. Work may be performed from a quiet, confidential space in a home location, approved by PNC. This position may not be available in all geographic locations.

Job Description
  • Communicates effective compliance programs to identify and prevent illegal, unethical, or improper business practices.
  • Serves as a trusted advisor to business leadership on compliance matters. Provides resolutions to manage and mitigate the identified risks.
  • Works collaboratively with partners in the line of business, legal, audit and other risk disciplines across the organization.
  • Proactively identify and raise compliance concerns as they relate to key business initiatives. Draws on industry knowledge related to current laws, rules, and other regulatory requirements and drafts or assesses Compliance Manuals, Front Office materials, policies and procedures to ensure alignment.
  • Communicates and socializes compliance program objectives to senior business partners. Independently challenges analyses and formulates insightful recommendations.
  • Reviews compliance reports to identify deeper issues and common themes. Escalates issues …
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Job Profile

Skills

Business Objectives Business Processes Commercial lending Compliance Customer solutions Decision making Financial Crimes Leadership Regulations Regulatory Compliance Risk Management Treasury management

Tasks
  • Analyzing business processes
Certifications

CAMS CRCM

Restrictions

Position may not be available in all geographic locations Work may be performed from a quiet, confidential space in a home location, approved by PNC