US Bank - Minneapolis, MN
posted 3 months ago
At U.S. Bank, we are committed to helping our customers and businesses make informed financial decisions while supporting the growth and success of the communities we serve. This position partners with Senior to Executive Leaders in the assigned Line of Business, collaborating closely with Risk/Compliance/Audit (RCA) Consultants, RCA Managers, and other Senior RCA Managers. The primary responsibility is to oversee the successful creation, implementation, and maintenance of an effective risk management framework. This role is crucial in ensuring compliance with applicable federal, state, and local laws and regulations, and it involves identifying gaps in processes and driving solutions to minimize losses resulting from inadequate internal processes, systems, or human errors. The individual in this role will be accountable for the active identification, response, and escalation of risks as appropriate. This includes managing projects and activities that ensure compliance and mitigate risks effectively. The position requires a strong understanding of the business line's operations, products, services, systems, and associated risks and controls. The successful candidate will also need to demonstrate strong leadership and management skills, particularly in managing processes, projects, and people, while effectively communicating and negotiating in stressful situations. The role offers a hybrid/flexible schedule, with an expectation of being in the office for three or more days per week, allowing for flexibility on other days.