SMBC Group · 2 hours ago
Head of Compliance Risk Assessment
SMBC Group is a top-tier global financial group offering a diverse range of financial services. The Executive Director will lead the firm-wide Compliance Risk Assessment program, ensuring robust design, execution, and continuous enhancement of the CRA framework and methodology while managing stakeholder engagement and data analysis.
AdviceBankingFinancial Services
Responsibilities
Design, implement, and continuously enhance the CRA framework and methodology
Lead the execution of the annual and ad-hoc compliance risk assessments across business units and legal entities
Collaborate with Compliance, Risk, Audit, and Business stakeholders to ensure alignment and integration of risk assessment outcomes
Develop and deliver executive-level reporting and insights to inform risk-based decision-making
Monitor regulatory developments and industry trends to ensure the CRA program remains current and effective
Manage a team of risk professionals, fostering a culture of excellence, accountability, and continuous improvement
Drive automation and data analytics initiatives to enhance the efficiency and effectiveness of the CRA process
Qualification
Required
Deep understanding of compliance risk management principles, frameworks, and regulatory expectations (either U.S. banking regulations (FRB, FDIC, CFPB) or securities/swap dealer regulations (SEC, CFTC, FINRA, NFA)
Proven experience in designing and executing enterprise-wide risk assessments with focus on designing Compliance Risk Assessment framework and methodology along with delivering annual compliance risk assessments for the firm
Strong knowledge of financial services industry, including products, services, and associated compliance risks
Familiarity with governance structures, control environments, and risk mitigation strategies
Experience with risk assessment tools, data analytics platforms, and reporting technologies
Experience working in a Compliance Advisory role covering either banking products/services or trading/capital markets businesses, ability to act as a subject matter expert on Bank, Broker- Dealer regulations are a strong plus
Strong interpersonal and communications skills (written and verbal) to successfully interface with all levels of management and maintain solid working relationships in a collaborative group environment
Experience managing projects, creating project plans, tracking statuses, and reporting issues to management
Ability to analyze results and identify trends / forecasting using resultant data and other available metrics (e.g., KPI, KRIs, etc.) while promoting measures to mitigate regulatory compliance risk
15 + years of specialized experience in Financial Services
Minimum 8-10 years of compliance experience (e.g., Risk Assessment, Developing Compliance Framework, Compliance Advisory, Bank regulator)
BA / BS in a relevant discipline (e.g., Accounting, Finance, Banking, Statistics, Mathematics, or other related field), or equivalent experience
Certified Regulatory Compliance Manager-CRCM)
CPA-Certified Public Accountant
Experience with Microsoft Office Suite, SharePoint
Experience on implementing GRC systems, awareness of toolset like Alteryx and AI applications
Preferred
10+ years of management experience preferred
Preferred: MA / MS / MBA
Benefits
Annual discretionary incentive award
Competitive portfolio of benefits
Company
SMBC Group
SMBC Group is a top-tier global financial group.
H1B Sponsorship
SMBC Group has a track record of offering H1B sponsorships. Please note that this does not
guarantee sponsorship for this specific role. Below presents additional info for your
reference. (Data Powered by US Department of Labor)
Distribution of Different Job Fields Receiving Sponsorship
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Trends of Total Sponsorships
2025 (160)
2024 (87)
2023 (73)
2022 (44)
2021 (29)
2020 (26)
Funding
Current Stage
Late StageLeadership Team
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