The ideal candidate will have experience managing a team of testing, compliance, or operational risk professionals, a strong knowledge of banking operations and products, and be skilled at developing ...
The ideal candidate will have experience managing a team of testing, compliance, or operational risk professionals, a strong knowledge of banking operations and products, and be skilled at developing ...
... Manager reports to the head of IT Risk Management (ITRM) within the firm's Operational Risk ... Regulatory Compliance: Assist with assessments concerning compliance with applicable laws and ...
... Manager reports to the head of IT Risk Management (ITRM) within the firm's Operational Risk ... Regulatory Compliance: Assist with assessments concerning compliance with applicable laws and ...
Provides main point of communication between business unit and Operational Risk Management (ORM). * Tracks items to completion for their business unit. * Assists their business unit with timely ...
Provides main point of communication between business unit and Operational Risk Management (ORM). * Tracks items to completion for their business unit. * Assists their business unit with timely ...
This role partners closely with Risk, Technology, Legal, Operations, Product, Internal Audit, and ... The ideal candidate brings strong regulatory compliance and enterprise risk management expertise ...
This role partners closely with Risk, Technology, Legal, Operations, Product, Internal Audit, and ... The ideal candidate brings strong regulatory compliance and enterprise risk management expertise ...
This position is responsible for Operational Risk oversight of the Key Technology and Operations ... compliance with risk management requirements. * Oversee the technology portfolio, assessing ...
This position is responsible for Operational Risk oversight of the Key Technology and Operations ... compliance with risk management requirements. * Oversee the technology portfolio, assessing ...
Technology Segment Risk Manager Sr.
Atlanta, GA · On-site +1
Bachelor's degree Minimum of 7 years of experience in Audit, Compliance, Risk Management or Operational Risk. In lieu of a Bachelor's degree 4 additional years of segment-specific or risk related ...
Technology Segment Risk Manager Sr.
Atlanta, GA · On-site +1
Bachelor's degree Minimum of 7 years of experience in Audit, Compliance, Risk Management or Operational Risk. In lieu of a Bachelor's degree 4 additional years of segment-specific or risk related ...
Risk Manager
Athens, GA · On-site
Serve as a liaison between administration, operations, training, and external agencies on matters related to risk management and compliance. Minimum Qualifications : Doctorate degree in a related ...
Risk Manager
Athens, GA · On-site
Serve as a liaison between administration, operations, training, and external agencies on matters related to risk management and compliance. Minimum Qualifications : Doctorate degree in a related ...
Technology Segment Risk Manager Sr.
Atlanta, GA · On-site +1
Minimum of 7 years of experience in Audit, Compliance, Risk Management or Operational Risk. * In lieu of a Bachelor's degree 4 additional years of segment-specific or risk related experience may be ...
Technology Segment Risk Manager Sr.
Atlanta, GA · On-site +1
Minimum of 7 years of experience in Audit, Compliance, Risk Management or Operational Risk. * In lieu of a Bachelor's degree 4 additional years of segment-specific or risk related experience may be ...
Technology Segment Risk Manager Sr.
Atlanta, GA · On-site +1
Minimum of 7 years of experience in Audit, Compliance, Risk Management or Operational Risk. * In lieu of a Bachelor's degree 4 additional years of segment-specific or risk related experience may be ...
Technology Segment Risk Manager Sr.
Atlanta, GA · On-site +1
Minimum of 7 years of experience in Audit, Compliance, Risk Management or Operational Risk. * In lieu of a Bachelor's degree 4 additional years of segment-specific or risk related experience may be ...
... the company's operational and strategic risk. This includes tools, practices, and policies to ... They will report on these risks to management and the SVP, Chief Audit, Risk, and Compliance ...
... the company's operational and strategic risk. This includes tools, practices, and policies to ... They will report on these risks to management and the SVP, Chief Audit, Risk, and Compliance ...
Risk Manager
Athens, GA · On-site
$70K - $80K/yr
Serve as a liaison between administration, operations, training, and external agencies on matters related to risk management and compliance. Minimum Qualifications : Doctorate degree in a related ...
Risk Manager
Athens, GA · On-site
$70K - $80K/yr
Serve as a liaison between administration, operations, training, and external agencies on matters related to risk management and compliance. Minimum Qualifications : Doctorate degree in a related ...
The responsibilities include oversight of the technology and operational risk activities namely ... Risk identification, management, monitoring, reporting: * Assist with the identification and ...
The responsibilities include oversight of the technology and operational risk activities namely ... Risk identification, management, monitoring, reporting: * Assist with the identification and ...
Risk Manager
Atlanta, GA · On-site
Communicate subcontractor and vendor insurance requirements to the third-party compliance vendor ... Participate/lead training with Operations Teams. 100% EMPLOYEE OWNED PC Construction is an Equal ...
Risk Manager
Atlanta, GA · On-site
Communicate subcontractor and vendor insurance requirements to the third-party compliance vendor ... Participate/lead training with Operations Teams. 100% EMPLOYEE OWNED PC Construction is an Equal ...
Risk Manager
Atlanta, GA · On-site
Communicate subcontractor and vendor insurance requirements to the third-party compliance vendor ... Participate/lead training with Operations Teams. 100% EMPLOYEE OWNED PC Construction is an Equal ...
Risk Manager
Atlanta, GA · On-site
Communicate subcontractor and vendor insurance requirements to the third-party compliance vendor ... Participate/lead training with Operations Teams. 100% EMPLOYEE OWNED PC Construction is an Equal ...
Risk Manager
Atlanta, GA · On-site
Communicate subcontractor and vendor insurance requirements to the third-party compliance vendor ... Participate/lead training with Operations Teams. 100% EMPLOYEE OWNED PC Construction is an Equal ...
Risk Manager
Atlanta, GA · On-site
Communicate subcontractor and vendor insurance requirements to the third-party compliance vendor ... Participate/lead training with Operations Teams. 100% EMPLOYEE OWNED PC Construction is an Equal ...
Communicate subcontractor and vendor insurance requirements to the third-party compliance vendor ... Participate/lead training with Operations Teams. 100% EMPLOYEE OWNED PC Construction is an Equal ...
Communicate subcontractor and vendor insurance requirements to the third-party compliance vendor ... Participate/lead training with Operations Teams. 100% EMPLOYEE OWNED PC Construction is an Equal ...
Risk Manager
Atlanta, GA · On-site
Communicate subcontractor and vendor insurance requirements to the third-party compliance vendor ... Participate/lead training with Operations Teams. 100% EMPLOYEE OWNED PC Construction is an Equal ...
Risk Manager
Atlanta, GA · On-site
Communicate subcontractor and vendor insurance requirements to the third-party compliance vendor ... Participate/lead training with Operations Teams. 100% EMPLOYEE OWNED PC Construction is an Equal ...
Communicate subcontractor and vendor insurance requirements to the third-party compliance vendor ... Participate/lead training with Operations Teams. 100% EMPLOYEE OWNED PC Construction is an Equal ...
Communicate subcontractor and vendor insurance requirements to the third-party compliance vendor ... Participate/lead training with Operations Teams. 100% EMPLOYEE OWNED PC Construction is an Equal ...
Minimum of 7 years of experience in Audit, Compliance, Risk Management or Operational Risk. * In ... lieu of a Bachelor's degree 4 additional years of segment-specific or risk related experience may ...
Minimum of 7 years of experience in Audit, Compliance, Risk Management or Operational Risk. * In ... lieu of a Bachelor's degree 4 additional years of segment-specific or risk related experience may ...
... in Audit, Compliance, Risk Management or Operational Risk. In lieu of a Bachelor's degree 4 ... additional years of segment-specific or risk related experience may be considered Preferred ...
... in Audit, Compliance, Risk Management or Operational Risk. In lieu of a Bachelor's degree 4 ... additional years of segment-specific or risk related experience may be considered Preferred ...
Compliance And Operational Risk Manager information
What is the highest salary for a risk manager?
What are the key skills and qualifications needed to thrive as a Compliance and Operational Risk Manager, and why are they important?
How does a Compliance and Operational Risk Manager typically collaborate with other departments to ensure regulatory adherence?
What is the difference between Compliance And Operational Risk Manager vs Compliance Analyst?
| Aspect | Compliance And Operational Risk Manager | Compliance Analyst |
|---|---|---|
| Certifications | CRCMP, CAMS, or similar | CAMs, CCEP, or similar |
| Work Environment | Risk management departments, financial institutions, regulated industries | Compliance departments, financial services, corporate offices |
| Responsibilities | Overseeing compliance programs, managing operational risks, implementing risk mitigation strategies | Monitoring compliance adherence, conducting audits, reporting compliance issues |
The Compliance And Operational Risk Manager focuses on managing both compliance and operational risks within organizations, often overseeing teams and developing strategies. In contrast, the Compliance Analyst primarily monitors compliance adherence and supports risk mitigation through audits and reporting. Both roles require similar certifications and are integral to regulated industries, but the manager role involves broader oversight and strategic planning.
Is compliance a dead-end job?
What does a Compliance and Operational Risk Manager do?
What jobs can I get with frm?
What does a compliance risk manager do?

Full-time
Posted 22 days ago
KeyBank rating
8.4
Based on 96 frontline employees who took The Breakroom Quiz
34th of 149 rated banks
Job description
Location:
4910 Tiedeman Road, Brooklyn OhioAbout the Job
As part of Key's second line of defense Compliance Risk Management function, the Risk Evaluation and Assurance Program (the "REA Program") has the responsibility for evaluating Key's ongoing compliance with applicable laws and regulations and the adequacy of operational controls and processes in mitigating applicable risks through the execution of operational and compliance monitoring and testing across Key's lines of business, products, and functional activities. Individuals lead the design and execution of testing and continuous monitoring to evaluate the adequacy of Key's operations and compliance with regulatory requirements. Individuals work both autonomously on assignments and in collaboration with other members of REA team on projects and testing. The Senior Manager must have a strong understanding of audit and/or testing concepts and apply those to testing, monitoring, issues management, and verification activities. The Senior Manager must exhibit strong leadership, initiative, and agility as well as a passion for continuous learning and challenging the status quo. The ideal candidate will have experience managing a team of testing, compliance, or operational risk professionals, a strong knowledge of banking operations and products, and be skilled at developing, executing, and overseeing testing and monitoring activities. This role requires the ability to demonstrate leadership across various lines of business and proactively and productively coordinate with other groups within Key including the lines of business, other risk management teams and internal audit.
Essential Job Functions
- Lead and manage a team of operational risk testing professionals and provide oversight of the risk-based monitoring and evaluation activities, including risk assessment, monitoring and testing, analysis of findings, and reporting to ensure effective, sustainable risk management processes exist.
- Provide oversight, guidance, and strategic direction to staff related to day-to-day responsibilities and engagement of line of business management and compliance partners in designing and executing testing, special projects, and ongoing monitoring.
- Demonstrate subject matter expertise in the testing and working knowledge of banking operations, industry trends, emerging issues, and related banking products and ability to understand its applicability to risk management strategies including the scoping of risk evaluations, monitoring, and design of testing plans.
- Utilize knowledge of data analysis tools and techniques to lead a team of compliance testing professionals in analyzing, quantifying, and/or assessing risks and to evaluate controls to identify potential weaknesses and/or control gaps.
- Assist REA Executive with the ongoing design, development, and implementation of the REA operational risk testing program including the testing plan, testing methodology, ongoing monitoring, and strategic initiatives to provide assurance that the Bank's policies, procedures, and processes are adequately designed and executed to effectively mitigate operational risks and consistent with industry best practices.
- Responsible for managing staff, providing ongoing coaching, and driving quality of work for the team while ensuring any issues or material breaches of applicable laws, rules, policies or standards with an actual or potential compliance risk impact are appropriately identified, escalated, remediated, and validated.
- Maintain awareness of emerging issues, bank-wide initiatives, and industry trends to be forward thinking and innovative in executing testing engagements and ongoing monitoring to identify process and control improvement opportunities.
- Develop and maintain strong, collaborative relationships with mid to senior level management, other internal clients and peers, Internal Audit, industry peers, and regulatory examiners.
- Participate in special projects as assigned and assist in the development and on-going enhancement of the REA Program and operational risk testing related procedures.
- Actively identify and pursue training or continuing education opportunities to further develop overall knowledge of regulatory compliance, banking products and services, industry trends, and emerging risks.
Required Qualifications
- Education/Background: Bachelor's degree.
- Minimum 6 years of compliance, risk management, and/or audit experience with a strong focus on risks and controls and risk-based auditing and/or testing techniques; management experience preferred.
- Advanced working knowledge of financial services compliance and operations including the related rules and regulations of the financial services industry to include: OCC, FRB, State Law, and other pertinent regulations.
- Demonstrated skill in effectively communicating (verbal and written) results to a diverse audience; ability to work with all levels of management with a focus on collaboration and relationship management.
- Experience with data analysis tools and techniques including advanced concepts of Microsoft Word, Excel, and PowerPoint and/or other analytical software (e.g. - SAS, Tableau, ACL, etc.).
- Strong interpersonal skills; ability to work well in a team environment.
- High ethical standards, strong critical thinking, detective, analytical, and problem-solving skills.
- Autonomous, self-motivated, and flexible with the ability to adapt quickly to change or shifting priorities in a fast-paced environment.
- Experience working on projects or initiatives requiring strategic planning/thinking across multiple functional areas and business processes.
Preferred Qualifications
- Currently maintains relevant professional and/or industry sponsored certifications in risk management, internal audit, and/or compliance (e.g. - Certified Information Systems Auditor (CISA), Certified Internal Auditor (CIA), Certified Fraud Examiner (CFE), Certified Regulatory Compliance Manager (CRCM), etc.).
- Comprehensive knowledge of the operational, technical, and functional structure of financial services organizations, banking systems, and risk programs.
COMPENSATION AND BENEFITS
This position is eligible to earn a base salary in the range of $112,000.00 - $210,000.00 annually. Placement within the pay range may differ based upon various factors, including but not limited to skills, experience and geographic location. Compensation for this role also includes eligibility for incentive compensation which may include production, commission, and/or discretionary incentives.Please click here for a list of benefits for which this position is eligible.
Key has implemented an approach to employee workspaces which prioritizes in-office presence, while providing flexible options in circumstances where roles can be performed effectively in a mobile environment.
Job Posting Expiration Date: 08/06/2026 KeyCorp is an Equal Opportunity Employer committed to sustaining an inclusive culture. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, age, genetic information, pregnancy, disability, veteran status or any other characteristic protected by law.Qualified individuals with disabilities or disabled veterans who are unable or limited in their ability to apply on this site may request reasonable accommodations by emailing HR_Compliance@keybank.com.
#LI-HybridAbout KeyBank
Sourced by ZipRecruiter
Key is one of the nation's largest bank-based financial services companies. Key provides deposit, lending, cash management, insurance, and investment services to individuals and businesses in 15 states under the name KeyBank National Association through a network of more than 1,200 branches and more than 1,500 ATMs. Key also provides a broad range of sophisticated corporate and investment banking products, such as merger and acquisition advice, public and private debt and equity, syndications, and derivatives to middle market companies in selected industries throughout the United States under the KeyBanc Capital Markets trade name.
Industry
Banking and credit intermediation
Company size
10,000+ Employees
Headquarters location
Cleveland, OH, US
Year founded
1849