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Quality Control Manager
2 months ago
The Quality Control Manager will lead a team responsible for executing and managing the quality control process, focusing on addressing financial crime and money laundering risks using a risk-based approach. The role involves publishing quality control results, leading discussions with investigative teams on identified exceptions and trends, and adhering to deadlines through effective workflow planning. The Manager will also participate in regular business meetings to provide updates on Quality Control Outcomes (QCO).
Key Responsibilities- Regulatory Compliance: Inform senior management and relevant regulators of serious regulatory breaches or risk tolerance breaches, ensuring quick remediation or cessation of activities.
- AML Monitoring: Understand the technical aspects of Anti-Money Laundering (AML) monitoring systems and case management.
- Quality Control Collaboration: Share QC outcomes, including supervisory checks, with the Operational Risk testing team for CST/KCI performance.
- Support & Strategy: Ensure adequate resources, processes, tools, frameworks, and systems for FCC controls within the team.
- Business Awareness: Maintain awareness of the wider business environment, including economic and market trends affecting the Group.
- Leadership & Talent Management: Provide leadership and coaching to direct reports, promoting a culture of openness, trust, and risk awareness. Ensure the team is adequately resourced and roles are well defined.
- Risk Management: Identify and escalate potential risks and issues, propose control improvements, and analyze data to report emerging risks.
- Governance: Account for and escalate serious regulatory breaches or risk tolerance breaches to senior management, ensuring appropriate actions are taken.
- Reporting: Analyze QCO results, report key trends, and assist in the reporting of key regulatory or audit action items.
- Education: Bachelor's degree in Business, Finance, Economics, Economic Crime Investigation, or related field from an accredited institution; an advanced degree is advantageous.
- Experience: 1-2 years in a large multinational financial institution, consulting firm, or law firm. Experience in AML, Sanctions, CDD, Anti-Bribery, or SAR processes is preferred.
- Skills:
- Strong understanding of financial crime compliance regulations and global procedures.
- Ability to interpret complex information and conduct thorough research and analysis.
- Excellent communication skills, both written and verbal.
- Leadership and motivational skills, with the ability to foster positive team communication.
- Personal agility and a solutions-oriented mindset.
We're an international bank, nimble enough to act, big enough for impact. For more than 170 years, we've worked to make a positive difference for our clients, communities, and each other. We question the status quo, love a challenge and enjoy finding new opportunities to grow and do better than before. If you're looking for a career with purpose and you want to work for a bank making a difference, we want to hear from you. You can count on us to celebrate your unique talents and we can't wait to see the talents you can bring us.
Our purpose, to drive commerce and prosperity through our unique diversity, together with our brand promise, to be here for good are achieved by how we each live our valued behaviours. When you work with us, you'll see how we value difference and advocate inclusion.
Together we:
- Do the right thing and are assertive, challenge one another, and live with integrity, while putting the client at the heart of what we do.
- Never settle, continuously striving to improve and innovate, keeping things simple and learning from doing well, and not so well.
- Are better together, we can be ourselves, be inclusive, see more good in others, and work collectively to build for the long term.