Compliance Advisor Manager

Capital One Capital One · Banking · Richmond, VA +4

Manager to support Capital One’s Finance group, focusing on a Compliance Management Program (CMP) for critical Finance areas with unique regulatory risk (e.g., Regulation W and Regulation K). The role involves supporting management and oversight of the CMP, ensuring risk-based application, and leveraging leadership skills to engage business and risk functions. Responsibilities include executing CMP components, serving as a compliance advisor, maintaining subject matter expertise, developing relationships, and escalating risk scenarios.

What you'd actually do

  1. Execute key components of the CMP to support consistent adherence across Finance, including but not limited to Regulation W and Regulation K requirements, including coordination with stakeholders on control testing, process level assessments, new business initiatives, review intercompany service agreements for regulatory applicability, and support regulatory change management and issue management
  2. Serve as a credible compliance advisor representing the Compliance organization to the Finance business teams, and other independent risk functions.
  3. Maintain subject matter expertise and gain industry insights related to Finance including including applicable laws, regulations, and regulatory guidance
  4. Develop and leverage strong relationships with business leadership, Legal, and other stakeholders to support the reliable and sustainable delivery of the CMP across the Finance organization
  5. Anticipate, identify and escalate risk scenarios early and propose potential mitigations

Skills

Required

  • Bachelor's Degree or military experience
  • At least 5 years of experience in compliance, risk, legal, regulatory, or audit within the financial service industries
  • At least 5 years of experience with US Banking laws rules and regulations.
  • At least 5 years of experience translating regulatory requirements into operational processes and business solutions

Nice to have

  • Master's Degree or Juris Doctor
  • Experience working at or with large banks and regulatory agencies
  • Familiarity and working knowledge of securities laws
  • Excellent communication and stakeholder management skills, with the ability to effectively challenge, influence outcomes and drive execution

What the JD emphasized

  • US Banking laws rules and regulations
  • regulatory risk
  • Regulation W
  • Regulation K