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Remote Governance Risk Compliance Jobs in Minnesota

Head of Growth Products

Minnetonka, MN ยท On-site +1

$237K - $248K/yr

Partner with technology, digital, data, analytics, design, marketing, risk, legal, compliance ... Experience building governance, operating models, and decision frameworks for emerging products or ...

$95K - $112K/yr

Leads governance meetings, committee cadence, and material-change reviews (products, systems ... Regulatory, Compliance & Risk Management * Is responsible for regulatory compliance of delegated ...

Data Security Consultant

Minneota, MN ยท On-site +1

$130K - $150K/yr

... risk management, compliance, or a related field. You have experience working across both governance ... remote (if non-local) or hybrid work arrangement where you'll spend 2 days per week on-site in ...

Data Security Consultant

Minneota, MN ยท On-site +1

$130K - $150K/yr

... risk management, compliance, or a related field. You have experience working across both governance ... remote (if non-local) or hybrid work arrangement where you'll spend 2 days per week on-site in ...

Work you'll do As a Senior Consultant, Regulatory, Risk, and Compliance on the Regulatory, Risk ... Experience with AI governance processes, including AI use case tracking, model risk classification ...

Showing results 21-40

Remote Governance Risk Compliance information

What is a remote Governance Risk Compliance (GRC) professional?

A Remote Governance Risk Compliance (GRC) professional is responsible for ensuring that an organization adheres to legal, regulatory, and internal policies related to risk management and corporate governance, all while working from a remote location. They assess risks, implement compliance programs, and develop policies that help prevent violations and mitigate risks. These professionals use digital tools to monitor compliance, conduct audits, and report findings to management or regulatory bodies, ensuring that the organization operates ethically and within the law, regardless of where they are physically located.

What are the key skills and qualifications needed to thrive as a remote Governance Risk Compliance (GRC) professional?

To succeed as a Remote Governance Risk Compliance professional, you need a strong understanding of regulatory frameworks, risk management principles, and compliance standards, often backed by a relevant degree and certifications such as CISA, CISSP, or CRISC. Familiarity with GRC platforms (like RSA Archer or LogicGate), data analytics tools, and documentation systems is crucial for effective monitoring and reporting. Outstanding analytical thinking, attention to detail, and clear communication set top candidates apart in remote environments. These competencies ensure regulatory adherence, minimize organizational risks, and maintain a robust compliance posture even from a distance.

What are some common challenges faced by professionals in remote Governance Risk Compliance (GRC) roles, and how can they be effectively managed?

One common challenge in remote GRC roles is maintaining clear communication and coordination with cross-functional teams, as GRC professionals often work with IT, legal, and operations departments. Staying updated on regulatory changes and ensuring timely compliance across distributed teams can also be complex. To manage these challenges, it's important to leverage collaboration tools, establish regular check-ins, and use centralized documentation systems. Building strong virtual relationships and setting clear expectations with stakeholders can further support effective risk management and compliance.

Can remote governance risk compliance jobs be remote?

Remote governance risk compliance jobs are commonly available, especially as many organizations adopt flexible work arrangements. These roles often require skills in risk management, compliance frameworks, and familiarity with remote collaboration tools, making remote work feasible for qualified candidates.

How to get into remote governance risk compliance?

To enter remote governance risk compliance roles, candidates typically need a bachelor's degree in fields like business, law, or cybersecurity, along with knowledge of regulatory frameworks and risk management practices. Gaining certifications such as Certified in Risk and Information Systems Control (CRISC) or Governance, Risk, and Compliance (GRC) certifications can enhance prospects. Strong analytical skills, familiarity with compliance tools, and experience working remotely are also valuable for success in this field.

Is remote governance risk compliance a good career?

Remote governance risk compliance is a growing field that involves ensuring organizations adhere to regulations and manage risks effectively, often requiring knowledge of compliance frameworks and risk management tools. It offers opportunities for remote work, career advancement, and specialization in areas like cybersecurity and data privacy. The role typically requires relevant certifications and strong analytical skills.

What are the most commonly searched types of Governance Risk Compliance jobs in Minnesota?

The most popular types of Governance Risk Compliance jobs in Minnesota are:

What are popular job titles related to Remote Governance Risk Compliance jobs in Minnesota?

For Remote Governance Risk Compliance jobs in Minnesota, the most frequently searched job titles are:

What job categories do people searching Remote Governance Risk Compliance jobs in Minnesota look for?

The top searched job categories for Remote Governance Risk Compliance jobs in Minnesota are:

What cities in Minnesota are hiring for Remote Governance Risk Compliance jobs?

Cities in Minnesota with the most Remote Governance Risk Compliance job openings:

Infographic showing various Remote Governance Risk Compliance job openings in Minnesota as of August 2026, with employment types broken down into 100% Full Time. Highlights an 100% Remote job distribution.

Lead Internal Auditor - BSA/AML Focus

Choice Bank

Roseville, MN โ€ข On-site, Remote

Full-time

Re-posted 18 days ago


Job description

Description

The Internal Auditor job family performs risk-based internal audit work to evaluate financial, operational, and compliance processes; assess risks; test internal controls; and communicate results that support effective risk management and sound governance. Team members partner with business units to understand processes, identify control strengths and gaps, document audit work, and contribute to practical recommendations that improve processes and mitigate risk. Across the job family, scope, complexity, independence, and leadership responsibilities increase by level, with more senior roles taking on broader audit planning, oversight of complex engagements, mentoring, and support for departmental initiatives, including the bank's FDICIA program.


Lead Internal Auditor - BSA/AML Focus ย 

This role will primarily support audits related to Bank Secrecy Act (BSA), Anti-Money Laundering (AML), financial crimes compliance, and associated risk management and regulatory programs.ย 


  • Form relationships, build trust, and partner with audit clients and audit team membersย 
  • Collaborate with audit clients and audit team members to share knowledgeย 
  • Employ thought leadership via a growth mindset approachย 
  • Be inquisitive and curious to gain knowledge of the business function, processes, and systemsย 
  • Seek out industry trends and information to proactively identify emerging enterprise risksย 
  • Stay apprised of company strategy and changes throughout the organizationย 
  • Respectfully and thoughtfully challenge and fearlessly ask whyย 
  • Understand and apply risk assessment methodology and risk management techniquesย 
  • Identify and analyze business processes, key risks, and critical controlsย 
  • Prepare or update planning and risk assessment documentationย 
  • Develop and update risk-based audit programsย 
  • Conduct process walk-throughs and review or develop process documentationย 
  • Evaluate control design adequacy in meeting established objectivesย 
  • Perform, or supervise audit team members in, the testing of control effectivenessย 
  • Use appropriate sampling and control testing techniquesย 
  • Identify and assess the relevancy of possible observations, including root cause analysisย 
  • Document work performed to support audit scope and conclusionsย 
  • Collaborate with audit clients to identify process improvements and solutions for risk mitigationย 
  • Draft clear, concise, and actionable audit reports; professionally communicate audit results, verbally and in writingย 
  • Conduct work in accordance with the Standardsย 
  • Perform follow up, including an appropriate level of validation testing, on the state of outstanding audit observationsย 
  • Conduct FDICIA internal control testing and assists with program documentation and reporting


Requirements

  • Bachelor's degree in accounting, finance, business, or a related field, or an equivalent combination of education and experience
  • Typically, 8 to 10 years of internal audit, external audit, risk, compliance, or related experience
  • Advanced knowledge of audit standards, audit methodology, risk management techniques, and internal control frameworks
  • Able to independently lead audits of moderate to high complexity, supervise testing, and manage multiple priorities and timelines
  • BSA/AML compliance experience
  • Financial crimes investigations, monitoring, sanctions, OFAC, KYC/CDD
  • Regulatory examination support
  • CRCM, CAMS, or related certifications
  • Strong judgment and business acumen with the ability to identify emerging risks, challenge assumptions, and recommend practical solutions
  • Strong report writing, communication, and client relationship skills, including the ability to present results clearly and persuasively
  • Demonstrated banking or financial services experience with knowledge of regulatory expectations and control environments
  • Professional certification such as CIA, CPA, CRCM, or equivalent preferred
  • Relies heavily on data and observations to identify opportunities for improvementย 
  • Be accountable and responsible for projects, timelines, and quality of workย 
  • Self-directed and able to produce in a remote environmentย 
  • Be proficient with Microsoft Suite of products

Travel Requirementย 

This position requires some travel to support business needs, including team collaboration, internal trainings, and cross-functional initiatives. The frequency and duration of travel will vary based on organizational priorities and team needs.ย 


Choice is #PeopleFirst, banking second.ย ย 

People don't need just another bank. People need to be supported by a team of trusted partners who will get to know them and their business, understand their challenges, discover their dreams, and recognize the success in bringing people and banking together in our communities.ย 

In contributing to our culture, Choice team members are guided by our core values.ย 

  • Embrace change and encourage innovation.ย 
  • Know when to ask for help and know when to offer help.ย 
  • Better the places we live.ย 
  • Work hard. Do the right thing. Have a little fun.ย 

Our vision of Diversity at Choice is supported by our #PeopleFirst mission and our core values.ย 

Being #PeopleFirst means that Choice is committed to focusing attention and resources towards creating an environment where everyone feels respected and valued and can do their best work. Doing the right thing means encouraging employees to share their experiences and ideas, and to bring their whole authentic selves to work. Together, we can build an inclusive culture that seeks out, supports, and celebrates diverse voices. We can use our diversity to fuel creativity and innovation and bring us closer to our customers and the communities we serve. Be welcome at Choice. We can see you here.ย 


Disclosureย 

This job description is intended to describe the general content of, and requirements for, the performance of this job.ย  It is not to be construed as an exhaustive statement of duties, responsibilities or requirements. All requirements are subject to possible modification to reasonably accommodate individuals with disabilities. Some requirements may exclude individuals who pose a significant risk to the health and safety of themselves or other employees.ย ย 

All employment at Choice Financial Group is "at will" employment. This position description does not create an employment contract, implied or otherwise. ย 


The base salary for this role is listed below. This pay range is posted to comply with wage transparency laws. The base salary may vary based on skill, ability, knowledge, experience, and geographic location. Full-time employees are also eligible for a competitive bonus and benefits package.ย