Sr Compliance Analyst
H&R Block
**557283BR**
**Title:**
Sr Compliance Analyst
**What you'll do...** **:**
As part of the Legal and Compliance Financial Services team supporting the financial products and services managed on behalf of the partner bank, you will be able to develop your skills, build your career, and make measurable impact along the way. In this role, you’ll help ensure that Block-branded financial services and partner bank products are offered and managed in a regulatory compliant manner commiserate with the requirements of consumer protection regulations in the field of deposit and credit products, complaints management, training, etc. Our dynamic company and growing team supports Financial Services throughout the company while striving to create new financial tools to help and inspire. Join us!
**Day to day, you'll...**
+ Receive and disseminate for investigation, consumer complaints lodged with the partner bank(s) and/or their regulatory agencies regarding all H&R Block-branded financial services products which include a prepaid card, checking and savings accounts, term loans and tax settlement products and services. Entails managing receipt and distribution of complaints, coordinating the investigation with internal applicable Operations teams, and authoring a formal written response, as requested by the partner bank, and in accordance with the Consumer Complaints Management Program within established timeframes/SLAs.
+ Support the FS Compliance Program Manager in complaints program reporting, complaints analysis and timely logging of complaints information.
+ Support the FS Compliance Program Manager and the Director, FS Compliance and Risk with review of product collateral, websites, training, agent scripts, etc. in regard to associate training, marketing and advertising of financial products.
+ Work closely as requested with relevant partner bank teams in maintaining compliance with the regulations governing bank deposit and credit products as well as any contractual program components involved.
+ Manage the review, update and distribution of required annual bank regulatory and new-hire regulatory compliance training for applicable associates.
+ Maintain relationships and provide compliance support to FS and related counterparts such as the Product group, Customer Service Organization, Deposit Ops, Credit Ops, etc.
+ Collaborate with and keep Compliance management informed of trends and any significant issues noted during day-to-day activities.
+ Participate in new product/process development projects to help ensure regulatory compliance requirements are met.
+ Assist the FS Compliance Program Manager and the Director, FS Compliance and Risk in reviewing, analyzing, and maintaining working knowledge of existing and pending legislation, statutes and regulations that affects or may potentially affect Financial Services policies, procedures and/or products.
**Job ID:**
557283BR
**Address1:**
CSC ONE H&R BLOCK WAY
**City:**
KANSAS CITY
**State:**
Missouri
**About H&R Block...** **:**
H&R Block’s purpose is simple: To provide help and inspire confidence in our clients and communities everywhere. We’ve been true to that purpose since brothers Henry and Richard Bloch founded our company in 1955. Since then, we’ve grown to have approximately 12,000 offices throughout the United States and around the world.
We are a people company first and a tax company second. People who join H&R Block say it feels like being part of something bigger. A place with an amazing and storied history, but with a strong and urgent focus on the future. Maybe it’s how determined, forward thinking and innovative we are, or how accessible our leadership is. We believe it’s all those things, and much more.
H&R Block is committed to diversity and inclusion and is proud to be an equal opportunity employer. We consider qualified applicants regardless of race, color, religion, creed, gender, national origin, age, disability, veteran status, marital status, sex, gender expression or identity, sexual orientation, citizenship, or any other legally protected class. All qualified applicants are welcomed and encouraged to apply.
**Employee Type:**
Regular
**It would be even better if you also had...** **:**
+ Certified Regulatory Compliance Manager (CRCM) or other financial institution-industry compliance certification but this is not required.
**What you'll bring to the team...** **:**
+ Bachelor’s Degree in a related field such as Business, Finance, Audit/Accounting or the equivalent through a combination of education and related work experience.
+ 3-5 years in a related financial institution field with direct bank-product regulatory compliance experience such as conducting compliance monitoring, consumer complaints response, error and dispute resolution, compliance training, marketing review, etc.
+ Strong working knowledge of banking deposit and lending regulations such as EFTA, TISA, UDAAP, TILA, ECOA, FCRA, Prepaid Card rules, Funds Availability, etc
+ Ability to collect, analyze, and summarize data and to assimilate into a useful format.
+ Excellent interpersonal skills to include oral and professional written communication skills.
+ Ability to handle multiple tasks and projects simultaneously.
+ Proficient at working independently and as a team member and to maintain sensitive and confidential information.
+ Financial institution-industry (i.e. bank, credit union, fintech, etc.) regulatory compliance-related experience specific to error resolution and disputes, DDA/Savings, prepaid card products, credit products and non-traditional deposit products.
+ Active participation in a financial-institution-industry compliance team specific to ensuring a sound compliance management program subject to regulatory agency or bank partner exam, audit, regular program evaluation, etc.
**Posting Title:**
Senior Compliance Analyst
**Job Family:**
Compliance/Govt Relations
**WOTC Eligibility Check:**
Yes
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