Sr. Compliance Risk Analyst I/II- Consumer Compliance
Trustmark
Overview
The Sr. Compliance Risk Analyst is responsible for conducting, monitoring, and compliance testing utilizing a risk-based approach in line with department standards to ensure the Bank’s compliance with applicable laws, rules, and regulations. It is a more experienced compliance position that combines knowledge of and experience with compliance regulations to forecast regulatory standing through performance measurement. The position is responsible for identifying potential areas of concern to improve Trustmark’s internal controls and reduce risk exposure.
This position may be filled as a Level I or II. Additional responsibilities and qualifications apply.
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