Regulatory Affairs Manager
1 week ago
At Webster Bank, we believe in a career that is not just a job, but a pathway to making a difference. Established in 1935, our commitment to prioritizing people has been unwavering, as we strive to assist individuals, families, businesses, and our colleagues in achieving their financial aspirations. As a prominent commercial bank, we are dedicated to serving our clients and uplifting our communities. Our core values—Integrity, Collaboration, Accountability, Agility, Respect, and Excellence—distinguish us as both a bank and an employer.
Join our dynamic team where you can enhance your career prospects, take advantage of extensive development opportunities, and engage in impactful work.
Position Overview:
The Regulatory Affairs Manager at Webster Bank plays a crucial role in establishing a robust Regulatory Relations Program. This position is pivotal in advancing the strategic objectives of Regulatory Relations, nurturing effective collaborations with internal stakeholders, and ensuring a proactive approach in addressing regulatory inquiries. The Manager will provide counsel to various business units on optimal practices for engaging with our primary regulators and will be responsible for updating training and awareness resources.
Key Responsibilities:
- Oversee the coordination of significant examinations and ongoing supervisory interactions with our primary regulators.
- Offer guidance and insights to business units on best practices for engaging with regulatory bodies.
- Facilitate the review of documentation in response to regulatory requests, adhering to established timelines.
- Support the secure transmission of documentation as required by regulatory authorities.
- Assist in the development of reports detailing key examination and supervisory activities managed by Regulatory Relations.
- Maintain an updated examination calendar and key contacts for essential examinations and ongoing supervisory activities.
Qualifications:
- A minimum of 4 to 7 years of cumulative experience in Compliance, Risk, or Audit is required.
- Preferred candidates will possess advanced degrees (Associates, Bachelor's, and/or Master's), although a High School diploma or GED is mandatory.
- Consideration will be given to candidates with a combination of relevant coursework and experience, or substantial related professional experience.
- Prior experience in a Regulatory Relations capacity is strongly preferred.
- A comprehensive understanding of banking regulations and general risk management principles is essential.
- Exceptional written and verbal communication skills are required.
- Proficiency in Microsoft Office applications, including Excel, PowerPoint, and Word, is necessary.
- Familiarity with banking applications and systems is advantageous.
- Knowledge of banking products and services is preferred.
- Strong project management and analytical skills are essential.
- Ability to make effective decisions is crucial.
We are committed to providing equal employment opportunities to all qualified applicants without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, disability, or protected veteran status.
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