Location: New York,NY, USA
Financial Institution Regulatory Compliance ManagerOverviewBaker Tilly is a leading advisory, tax and assurance firm, providing clients with a genuine coast-to-coast and global advantage in major regions of the U.S. and in many of the world's leading financial centers – New York, London, San Francisco, Los Angeles, Chicago and Boston. Baker Tilly Advisory Group, LP and Baker Tilly US, LLP (Baker Tilly) provide professional services through an alternative practice structure in accordance with the AICPA Code of Professional Conduct and applicable laws, regulations and professional standards.Baker Tilly Advisory Group, LP and Baker Tilly US, LLP, trading as Baker Tilly, are independent members of Baker Tilly International, a worldwide network of independent accounting and business advisory firms in 141 territories, with 43,000 professionals and a combined worldwide revenue of $5.2 billion.Please discuss the work location status with your Baker Tilly talent acquisition professional to understand the requirements for an opportunity you are exploring.Baker Tilly is an equal opportunity/affirmative action employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, national origin, disability or protected veteran status, gender identity, sexual orientation, or any other legally protected basis, in accordance with applicable federal, state or local law.Job Description:ResponsibilitiesAre you interested in joining one of the fastest growing consulting and accounting firms in the country? Would you like the ability to join a highly dynamic team focused on providing exceptional client service in the areas of financial institution risk and regulatory compliance? If yes, consider joining Baker Tilly (BT) as a Regulatory Compliance Manager!What you will do:Work closely with client executives and management teams to understand their businesses and assist in identifying and managing regulatory compliance risks within their business processes and systems.Directly assist clients in notably being compliant with new or update in financial institution regulations.Implement new or updated regulatory requirements, and translate regulatory requirements to ensure financial institution compliance.Continually stay up-to-date on all existing compliance regulations.Develop and maintain a broad knowledge and awareness of the financial institution industry and regulatory changes and identify potential impacts to compliance audit programs.Support our internal audit practice as Subject Matter Expert on regulatory and compliance topics.Provide strategic business advice to clients by assisting in the implementation of new regulatory requirements.Manage client engagement teams, along with staffing, billings/collections, and ensure client profitability targets are met.Utilize your entrepreneurial skills to network and build strong relationships internally and externally with clients and the community.Invest in your professional development individually and through participation in firm wide learning and development programs.Support the growth and development of team members through the Baker Tilly Care and Teach philosophy, helping associates meet their professional goals.Successful candidates will have:Bachelor's degree in accounting, finance, or a related program.5+ years experience with regulatory compliance.1-2 year(s) management experience.CIA or CRCM designation(s) required.CRCM Certification strongly preferred. Also open to candidates willing to obtain CRCM Certification in the future.Experience working with FDIC, OCC, CFPB, NCUA, and state regulations.Experience as a client serving professional for a consulting firm desired or financial institution experience.Excellent analytical, technical, and problem-solving skills, with strong attention to detail.Exceptional verbal and written communication, collaboration, and time management skills.Strong sense of urgency and client responsiveness.Ability to travel.#J-18808-Ljbffr