Leader within Synchrony’s Compliance Management Program providing direction and maintaining compliance policies. Collaborating across various departments to ensure regulatory adherence and manage compliance resources.
Responsibilities
Provide leadership and direction for Synchrony’s Compliance Management Program
Maintain/update Compliance policies and procedures
Partner with the Legal Department and business stakeholders to assess regulatory changes
Manage relationships with third-party vendors and coordinate Compliance Sub-Committee meetings
Collaborate across Compliance for monitoring activities and ensure timely responses to regulatory examinations
Requirements
Bachelor’s degree or in lieu of degree and 5+ years of consumer financial services and/or internal audit experience
5+ years of experience with compliance and/or risk management in consumer financial services
5+ years managing a team in compliance and/or risk management in consumer financial services
Proficient in Microsoft applications, including Excel, PowerPoint and Word
Certified Regulatory Compliance Manager (CRCM) or similar certification
Benefits
Option to work from home or at an office location
Annual bonus based on individual and company performance
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