U.S. Bank Risk Assessment Manager in Dover, Delaware

The Corporate Compliance group within U.S. Bancorp Risk Management & Compliance is seeking a strategic, experienced, self-motivated professional to manage Corporate Compliance’s enterprise-wide risk and control assessment programs and processes.

Corporate Compliance’s risk and control assessment programs facilitate compliance risk identification and documentation, control identification and documentation, assessment, testing, and monitoring of compliance risk across U.S. Bancorp’s domestic and international business lines and support functions, its subsidiaries, and affiliates.

Primary Duties and Responsibilities:

  • Manage Corporate Compliance’s risk and control assessment program (Enterprise Compliance Risk Assessment) which encompasses governance, execution oversight, management action, and reporting

  • Manage the annual Compliance Program Self-Assessment process involving Corporate Compliance senior management, 2LOD program owners, and Business Line Chief Risk Offices which is reported to senior operating committees and the Board and results in key program enhancement initiatives for the upcoming year

  • Serve as the “voice of the program” across enterprise-wide stakeholder groups, including routine active engagement with Risk Management & Compliance senior and executive management, Business Line Chief Risk Offices, and senior operating committees

  • Initiate and manage continuous improvement initiatives to ensure the effectiveness, efficiency, and accessibility of risk and control assessment processes and information

  • Provide leadership, coaching, and direction within individual team and across Corporate Compliance and the Business Lines with respect to risk and control assessment; potential for future direct management role -

Integrate key values of transparency, professionalism, and customer service into all facets of risk and control assessment programs and processes

Qualifications:

Basic Qualifications

  • Bachelor's degree, or equivalent work experience

  • 10 or more years of experience in an applicable risk management environment

  • Applicable professional certifications

Preferred Skills/Experience

  • Demonstrated strategic management of complex processes or systems, including experience managing a large-scale project that involves multiple business lines and risk oversight groups

  • Demonstrated ability to prioritize and execute on several activities/workstreams simultaneously

  • Strong analytic, logical reasoning, problem solving, and risk vs. reward skills

  • Strong intrapersonal skills including communication skills (oral, written, presentation), conflict resolution skills, and strategic thinking

  • Demonstrated experience in risk and control assessment at a large financial institution or other complex company/corporation

  • Management experience

  • Advanced degree in a related field – Masters of Business Administration, Juris Doctorate

  • Highly skilled in the MS Office suite (PowerPoint, Excel, Visio, and Word) and strong presentation development expertise

Job: Risk/Compliance/QC/Audit/Fraud

Primary Location: Minnesota-MN-Minneapolis

Shift: 1st - Daytime

Average Hours Per Week: 40

Requisition ID: 180011812

Other Locations: North Carolina-NC-Charlotte, United States, Minnesota-MN-Minneapolis

U.S. Bank is an Equal Opportunity Employer committed to creating a diverse workforce.

U.S. Bank is an equal opportunity employer committed to creating a diverse workforce. We consider all qualified applicants without regard to race, religion, color, sex, national origin, age, sexual orientation, gender identity, disability or veteran status, among other factors.