Compliance Officer I - Licensed Fifth Third Securities
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Fifth Third Bank, National Association
Cincinnati, OH (In Person)
Full-Time
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Job Description
Make banking a Fifth Third better® We connect great people to great opportunities. Are you ready to take the next step? Discover a career in banking at Fifth Third Bank.
GENERAL FUNCTION
To identify and assess risks and the execution of procedures to evaluate Fifth Third Securities' compliance with rules and regulations of Financial Industry Regulatory Authority (FINRA), U.S. Securities and Exchange Commission (SEC), state laws, and industry standards, as well as the Bancorp's policies and procedures. Works to seek process improvements, assess compliance functions, procedures and approaches, including the results of monitoring and testing functions, and enhance existing controls in coordination with the line of business. The Compliance Officer I will assist in development plans and implementation of new regulatory requirements and industry best practices. This position will work within department and cross-department teams. Responsible and accountable for risk by openly exchanging ideas and opinions, elevating concerns, and personally following policies and procedures as defined. Accountable for always doing the right thing for customers and colleagues and ensures that actions and behaviors drive a positive customer experience. While operating within the Banks risk appetite, achieves results by consistently identifying, assessing, managing, monitoring, and reporting risks of all types.ESSENTIAL DUTIES AND RESPONSIBILITIES
- Participates in the analysis of policies and procedures, strategic priorities, external influences, current regulatory focuses, and previous examination findings, as it relates to Compliance issues and risks.
- Maintain a cutting-edge awareness of company goals, regulatory and legislative developments, and industry trends.
- Assist with regulatory examinations.
- Analyzes data by numerous delivery channels, geographic area, product types, facility, and even employee or officer to identify risks and develop and recommend scope or target for the review, corrective action/or performance gap closure. Develops and executes strategies for closing gap in performance.
- Assess the adequacy of the business units'/affiliate's recommended corrective action to the issues or gaps identified.
- Develops and report's findings to Senior Management regarding their business lines (Legal, Audit, and Senior level Operating Committees).
- Participates and/or leads regular meetings with peers to build and maintain know ledge of current and emerging issues and risk in the environment
- Recommend protocols for compliance testing.
- Contribute updates to the compliance risk assessment.
- Reviews reporting from the Councils for use by the Regulatory Change Management Committee.
SUPERVISORY RESPONSIBILITIES
None.MINIMUM KNOWLEDGE, SKILLS AND ABILITIES REQUIRED
Education:
Bachelor' s degree in Business Administration, Finance or related field or equivalent work experience.- Minimum 5 years of sales supervision, representative supervision, or compliance experience within the brokerage industry and/or investment advisory industry.
- FINRA Series 7, Series 66, and Series 24 are required.
Computer/Technical:
Demonstrates working or functional proficiency sufficient to apply the use of software applications (Micro-Soft Office Suite) without assistance and minimal supervision.- Able to understand and conceptualize basic statistical analysis and theories. With solid experience in manipulating (validating, correcting, reformatting, and transforming) data into more than one format, (e.g. spreadsheets, flat files, data bases, etc.). Strong analytical skills required to gather, assess and present quantitative and qualitative data.
- Ability to negotiate and collaborate with others, initiate action, adapt to change, make difficult decisions, and accept challenging assignments.
- Excellent oral and written communication skills. Effectively communicates upward, downward and laterally. Display a positive business presence with management and external contacts.
- Must be able to demonstrate sound judgment and apply logical and critical thought processes when developing and recommending solutions. #LI-GM1 Compliance Officer I
- Licensed Fifth Third Securities Total Base Pay Range 71,100.00
- 145,900.
com Careers page at:
https://www.53.com/content/fifth-third/en/careers/benefits.html or by consulting with your talent acquisition partner.LOCATION
- Cincinnati, Ohio 45202 Attention search firms and staffing agencies: do not submit unsolicited resumes for this posting. Fifth Third does not accept resumes from any agency that does not have an active agreement with Fifth Third. Any unsolicited resumes
- no matter how they are submitted
- will be considered the property of Fifth Third and Fifth Third will not be responsible for any associated fee.
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