BBVA Compass

  • Compliance Risk Specialist III

    Posted Date 4 weeks ago(9/21/2018 12:00 PM)
    EOE Statement
    Equal Opportunity Employer - Minority/Female/Disability/Veterans.
  • Overview

    At BBVA, we are working to make banking better for everyone. That is where you come in. We are looking for smart, team oriented people who want to be part of a first-class workforce that gives people the tools they need to meet their financial goals, all while delivering an outstanding client experience. Learn more below.


    The Compliance Risk Specialist is responsible for the implementation and oversight of regulatory and compliance related activities within the Commercial Bank. This position works with the Senior Control Manager to strengthen first line of defense activities within the Commercial, Wealth Management, and BSI segments- ensuring the LOB is compliant with regulatory and bank standards. This position will be accountable for the development of compliance monitoring activities within the Commercial and Wealth and coordinating regulatory and compliance requirements with Compliance, Risk, Legal and other partners. The position will promote and ensure compliance with applicable federal consumer lending laws and regulations. 



    • Coordinate execution of compliance related tasks  – conduits to the line of business and partnership with compliance subject matter experts
    • Tactical oversight – discovery of potential issues within the first line of defense and development/coordination of remediation activities
    • Aid in the development of new monitoring and controls
    • Manage implementation of consumer controls to be determined by compliance risk assessment process
    • Assist in the measurement of performance to risk appetite
    • Develop action plans in first line of defense to mitigate high and critical risks identified in risk assessments
    • Strengthen action plans from Risk Management Tracking System based on assessment results
    • Coordinate ongoing risk assessment exercise with compliance and the line of business
    • Continued focus on improving communication efforts between first and second line
    • Participate/Coordinate compliance risk workshops with FLOD and second line membership
    • Development and ongoing maintenance of risk and regulatory dashboard reporting
        • Overseeing development of appropriate Risk Management reporting and assessments on key regulatory risk initiatives, including identification of key risk indicators and controls
        • Ambassador to create a culture of compliance within the first line of defense
        • Interact with regulators as requested



    • Minimum of five years proven and progressive financial services operations, internal audit, risk, compliance and/or legal management experience or equivalent
    • Must be able to work effectively and independently, meet deadlines, and make sound decisions
    • Strong project management skills and attention to detail
    • Minimum of a Bachelor’s degree in business, related field or equivalent experience
    • Working knowledge and/or background in identification of Risk(s) and Control(s)
    • High level of motivation as well as strong communication (written and oral) and interpersonal skills, with the ability to communicate with both internal and external constituencies
    • Broad scope of knowledge of financial services business including products, operations, systems and organization
    • Strong analytical and problem solving skills including the ability to probe sensitive issues while maintaining the highest level of integrity and objectivity
    • Strong Microsoft Office skills, especially Microsoft Excel


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