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Zions Bancorporation Investment Compliance Officer - SLC or Houston - Hybrid Schedule in Salt Lake City, Utah

Zions Bancorporation is one of the nation’s premier financial services companies operating as a collection of great banks under local brands and management teams in high-growth western markets. Zions is regularly recognized by American Banker as one of the “Best Banks to Work For” and as having a top banking team in its list of “The Most Powerful Women in Banking.” Our customers consistently vote us as the best bank in our local markets., We value our employees, and we are committed to search out, recognize and create fulfilling opportunities for outstanding people within our organization, rewarding them for their contributions to our success. We recognize that banking is a “local” business, and that to be successful, we must have very strong ties to the communities we serve and strong relationships with our customers.

With benefits starting on day one, 12 bank holidays, profit sharing and company-matched 401(k) contributions, Zions is dedicated to being an employer of choice in our communities. At Zions, the possibilities are endless. You bring the talent; we bring the opportunity.

We are currently seeking an Investment Compliance Officer within the Market, Liquidity, Wealth Risk & Compliance Team. This position can be located in Houston, TX or Salt Lake City, Utah.

Description

Market, Liquidity, and Wealth Risk Management (MLW) Team members work closely with key executives to monitor and manage some of the most significant (and expanding) processes associated with the financial services industry. The MLW team provides second line oversight to the non-bank divisions of Zions Bancorporation including but not limited to Broker Dealer, Capital Markets and Public Finance groups.

Responsibilities:

A Risk & Compliance Officer within MLW provides leadership, analytical skills, and innovative thinking necessary to not only carry out existing risk monitoring frameworks and compliance program but also to enhance and improve existing programs and challenge business line assertions and assessments. Specific responsibilities include, but are not limited to:

  • Provide subject matter expertise on compliance and risk topics pertinent to the institutional broker dealer, bank dealer and municipal advisor.

  • Conduct scheduled monitoring and testing reviews over assigned business line activities in accordance with the compliance and risk program.

  • Communicate findings/issues to business line management in a professional manner.

  • Support the broker dealer compliance program and officer as needed.

  • Interact with business line partners; schedule and conduct monthly meetings.

  • Review electronic communications and marketing materials as needed.

  • Assist in the coordination of reviews, and impact analysis of proposed and new regulations and industry enforcement actions.

  • Manage compliance governance documents in including the department policy and procedure manual.

  • Facilitate compliance oversight for broker dealer, bank dealer and municipal advisor, including:

  • Oversee Branch Audit Program including onsite audits of registered branch locations

  • Political contributions, restricted lists and insider trading compliance

  • Supports the Compliance and Risk staff by assisting with the execution of action plans and initiatives.

    The environment is dynamic and growing, as risk officers frequently evaluate business units throughout the entire Enterprise and affiliates. Some travel may be required.

    Qualifications

  • Requires a bachelor’s degree in business, finance or a related field

  • 2-4+ experience in financial services regulatory compliance, securities industry, investment management, investment banking, auditing or other directly related experience.

  • A combination of education and experience may meet requirements.

  • FINRA Series 7, 79, 53, or 24 strongly preferred. Employee will be required to obtain required FINRA licenses within 12 months of employment.

  • Experience in BSA/AML a plus.

  • Experience in brokerage or public finance a plus.

  • Strong analytical skills with the ability to bring together large amounts of data into succinct reports.

  • Strong Excel skills and experience in data analysis, data mining, or database management is preferred.

  • Excellent verbal and written communication skills and ability to present information to regulators, senior management.

  • Strong attention to detail and organizational skills. Ability to learn on the fly and think independently

  • Self-motivation and the ability to work independently or with team members

Req ID: 065153

Equal Opportunity Employer

It is the policy of this corporation to provide equal employment and advancement opportunities to all employees and applicants for employment, without regard to race, color, religion, age (40 and over), sex, pregnancy, gender, disability, national origin, ethnic background, citizenship, veteran status, sexual orientation, gender identity and expression or any other characteristic protected by applicable law. This policy is established and administered in accordance with all applicable federal, state, and local laws.

If you are an individual with disabilities who needs accommodation, or you are having difficulty using our website to apply for employment, please contact us at (801) 844-7628, Mon.-Fri. between 9 a.m. - 5 p.m. MST.

Click here to view applicable Federal, State and/or local employment law posters.

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