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Compliance Manager, Management

Job in Richmond, Henrico County, Virginia, 23274, USA
Listing for: Truist
Full Time position
Listed on 2026-01-19
Job specializations:
  • Management
    Risk Manager/Analyst, Regulatory Compliance Specialist
  • Finance & Banking
    Risk Manager/Analyst, Financial Compliance, Regulatory Compliance Specialist
Job Description & How to Apply Below
** The position is described below. If you want to apply, click the Apply Now button at the top or bottom of this page. After you click Apply Now and complete your application, you'll be invited to create a profile, which will let you see your application status and any communications. If you already have a profile with us, you can log in to check status.*
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** Regular or Temporary:*
* Regular

** Language Fluency:
** English (Required)

*
* Work Shift:

*
* 1st shift (United States of America)

** Please review the following job description:*
* The Wealth and Fiduciary Compliance Manager serves in an advisory capacity to Truist Bank's personal and institutional trust and investment management businesses. This individual coordinates with a team of compliance professionals to ensure appropriate compliance risk oversight is in place for assigned business units and/or functions. Coordinates and executes compliance risk management activities to reasonably ensure compliance with the Enterprise Compliance Management Policy and Framework.

The successful candidate will be proactive, detail oriented and have excellent communication skills.

ESSENTIAL DUTIES AND RESPONSIBILITIES

Following is a summary of the essential functions for this job.  Other duties may be performed, both major and minor, which are not mentioned below.  Specific activities may change from time to time.

1. Lead and develop a compliance program/function which may include leading a team.

2. Provide leadership and communicate effectively with senior management and legal staff, as necessary, to ensure awareness of regulatory issues and updates.

3. Work closely with senior management to establish an appropriate compliance culture throughout the organization.

4. Oversee the efforts of business units and other risk areas in the development and implementation of policies, procedures and processes to minimize compliance risks.

5. Aggregate and review Risk Committee materials across team to ensure appropriate evaluation of program effectiveness and stated compliance risk is communicated to leadership.

6. Communicate with management and regulators with respect to compliance risk management activities and regulatory examinations.

7. Collaborate across internal team to implement strategies and methods related to the compliance risk management framework within the organization, including quality assessments, key risk, and performance measurement data, along with oversight monitoring and mitigation strategies.

8. Partner with LOB leaders and other senior Truist teammates to execute on key strategic initiatives for the company, providing counsel and oversight in a collaborative, business savvy and team-first manner.

** QUALIFICATIONS*
* Required Qualifications:

The requirements listed below are representative of the knowledge, skill and/or ability required.  Reasonable accommodations may be made to enable individuals with disabilities to perform the essential functions.

1. Bachelor's degree in Business, Economics, Finance, or Accounting, or an equivalent combination of education and work experience

2. Ten years of financial institution experience

3. Eight years of direct experience in compliance

4. Advanced knowledge, ability and expertise in compliance and a broad understanding of financial services

5. Demonstrated experience with regulatory agencies, requirements, and/or regulatory compliance

6. Solid understanding of risk management processes and risk analysis

7. Strong communication skills, both verbally and written, and the ability to communicate and interact with all levels of management

*
* Preferred Qualifications:

*
* 1. MBA, Juris Doctorate or other advanced degree

2. Ten years of compliance experience, with five years at medium to large financial institution

3. Prior supervisory or management experience

4. Certified Regulatory Compliance Manager (CRCM)

5. Direct experience with trust and investment management business lines,…
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