Senior Compliance Officer of Independent Risk Management, Senior Vice President
Company: STATE STREET CORPORATION
Location: Boston
Posted on: June 1, 2025
Job Description:
SVP, Senior Compliance Officer of Independent Risk ManagementWho
we are looking for:Corporate Compliance is seeking a dedicated and
knowledgeable Senior Compliance Officer (SCO) to oversee compliance
activities related to ensuring firmwide compliance with regulatory
obligations regarding financial risk (credit risk, interest rate
risk, liquidity risk, trading risk) and non-financial risk
(compliance risk, model risk, operational risk, technology risk,
resiliency, data and third party) globally, including
responsibility for conducting compliance assurance activities of
applicable law, rules, regulatory guidance, and internal policy
requirements.As a leader within the second line of defense, the SCO
for Independent Risk Management (IRM) will work with a global team,
cross functionally, to support IRM leaders in monitoring and
keeping pace with regulatory obligations, develop risk frameworks,
policies, standards, and procedures in alignment with applicable
regulatory obligations and the firm's enterprise Compliance Risk
Management Program. Additionally, the SCO of IRM will provide
guidance and independent review, challenge, and oversight of the
second line of defense leaders related activities including
supporting the aggregation and reporting of applicable compliance
risks and issues to senior management. The ideal candidate is a
strategic thinker with expertise in financial and non-financial
risk regulatory obligations and demonstrates exceptional leadership
and collaboration skills including the ability to navigate complex
international regulatory landscapes while driving compliance
excellence.Key responsibilities include:
- Support the development, implementation of the firm's financial
and non-financial risk compliance frameworks, ensuring alignment
with the interpretations of applicable law, regulations, regulatory
guidance, and industry standards through creating traceability and
mapping documents.
- Evaluate, enhance, and execute the firmwide compliance risk
management program as well as the execution and /or oversight of
monitoring and testing activities while providing insights on
proportionate risk mitigation approaches in the implementation of
compliance risk management requirements.
- Execute an effective regulatory change management program that
includes monitoring for new and amended regulations, standards, and
guidance from primary regulatory authorities globally as well as
working closely with IRM leaders to update relevant controls and
drive regulatory readiness.
- Conduct compliance risk assessments and review and assess
regulatory and compliance policy breaches and remediation.
- Ensure that all relevant, inherent, material, and residual
compliance risks and issues together with remedial/mitigation
actions are documented and reported appropriately to senior
management in a timely manner.
- As appropriate, ensure accurate and timely reporting of risks,
metrics, objectives & key results (OKRs) and other compliance
requirements to governance fora to demonstrate compliance with
regulatory obligations and satisfy internal reporting requirements
on the effectiveness of the financial compliance risk management
program.
- Assist in the management of relevant regulatory examinations,
inquiries and prepare business leaders for reviews conducted by
regulatory authorities.
- Educate personnel on applicable financial risk related
regulatory obligations and firm policies.
- Prepare and present annual and periodic Compliance Risk
Management Program reports/reviews to satisfy regulator, and
internal management requirements, including Compliance Program
Evaluations to support the Chief Compliance Officer's aggregate
State of Compliance Report.
- Participate in activities to enable the successful
implementation of financial risk compliance management framework
including identifying data requirements, key risk indicators, key
performance indicators, OKRs, tools, and technology to support risk
management and governance activities.
- Provide guidance to internal stakeholders on financial risk
compliance management practices.
- Serve as a point of contact for internal and external
stakeholders on financial risk compliance management matters.
- Develop financial risk compliance related training curriculums
for business partners and employees.
- Be a role model of risk management excellence.What we
value:These skills will help you succeed in this role:
- Demonstrated understanding of regulatory obligations such as:
BCBS 75, SR 11-10, SR 20-12, Reg WW, Reg YY, SR 12-7, Regulation Q,
BCBS 195, SR 11-7, FFIEC IT Handbook, and various other financial
and non-financial risk related regulatory obligations,
globally.
- Ability to manage multiple simultaneous tasks in a high
pressure, deadline-driven environment.
- Strong abilities in analytical thinking, problem solving,
research, time management, and verbal and written
communication.
- Qualified to collaborate with individuals across business
units/lines.
- Ability to take ownership, initiative to negotiate, influence,
build consensus and successfully navigate within a demanding and
international environment of a leading global financial
institution.Qualifications:
- Demonstrated global experience with compliance risk management
skills in financial services related to investment services and
investment advisory.
- Ability to evaluate and interpret the law, regulations, and
regulatory guidance.
- Experience in data analysis, model risk management, relevant
platforms and reporting software.
- Strong understanding of financial risk regulations and
corporate governance standards.
- Strong written and verbal communication skills.
- Ability to work collaboratively globally with cross functional
teams.
- Bachelor's degree in finance. A Master's, Law, or Ph.D., degree
is a plus.
- 10+ years of experience in financial risk compliance
management.Are you the right candidate? Yes!We truly believe in the
power that comes from the diverse backgrounds and experiences our
employees bring with them. Although each vacancy details what we
are looking for, we don't necessarily need you to fulfil all of
them when applying. If you like change and innovation, seek to see
the bigger picture, make data driven decisions and are a good team
player, you could be a great fit.About State StreetWhat we do.
State Street is one of the largest custodian banks, asset managers
and asset intelligence companies in the world. From technology to
product innovation, we're making our mark on the financial services
industry. For more than two centuries, we've been helping our
clients safeguard and steward the investments of millions of
people. We provide investment servicing, data & analytics,
investment research & trading and investment management to
institutional clients.Work, Live and Grow. We make all efforts to
create a great work environment. Our benefits packages are
competitive and comprehensive. Details vary by location, but you
may expect generous medical care, insurance and savings plans,
among other perks. You'll have access to flexible Work Programs to
help you match your needs. And our wealth of development programs
and educational support will help you reach your full
potential.Inclusion, Diversity and Social Responsibility. We truly
believe our employees' diverse backgrounds, experiences and
perspectives are a powerful contributor to creating an inclusive
environment where everyone can thrive and reach their maximum
potential while adding value to both our organization and our
clients. We warmly welcome candidates of diverse origin,
background, ability, age, sexual orientation, gender identity and
personality. Another fundamental value at State Street is active
engagement with our communities around the world, both as a partner
and a leader. You will have tools to help balance your professional
and personal life, paid volunteer days, matching gift programs and
access to employee networks that help you stay connected to what
matters to you.State Street is an equal opportunity and affirmative
action employer.Discover more at StateStreet.com/careersSalary
Range:$225,000 - $337,500 AnnualThe range quoted above applies to
the role in the primary location specified. If the candidate would
ultimately work outside of the primary location above, the
applicable range could differ.Job Application Disclosure:It is
unlawful in Massachusetts to require or administer a lie detector
test as a condition of employment or continued employment. An
employer who violates this law shall be subject to criminal
penalties and civil liability.
#J-18808-Ljbffr
Keywords: STATE STREET CORPORATION, Marthas Vineyard , Senior Compliance Officer of Independent Risk Management, Senior Vice President, Accounting, Auditing , Boston, Massachusetts
Didn't find what you're looking for? Search again!
Loading more jobs...