logo
HomeEqual OpportunitiesBusey PromiseVolunteerismGiving BackAwards & RecognitionNewsroomInvestor Relations
Banner with Overlay
Glenview, IL - 800 Waukegan Rd
Peoria, IL - 2120 S.W. Adams Street
Schaumburg, IL - 1901 N Roselle Road; Suite 640
+2
Just now
Apply Now
Wealth Management Compliance Program Manager
Glenview, IL - 800 Waukegan Rd
Peoria, IL - 2120 S.W. Adams Street
Schaumburg, IL - 1901 N Roselle Road; Suite 640
+2
Just now
Apply Now

Position Summary

The Compliance Program Manager coordinates the regulatory compliance process for Busey Wealth Management and is primarily responsible for ensuring that Wealth Management is in compliance with federal and state statutes and regulations. This will entail ensuring that appropriate policies and procedures have been adopted, assisting with compliance training, performing compliance testing, and generating management reports.

Duties & Responsibilities

  • Manage and enhance our regulatory compliance program, including the account review process, monitoring exceptions, investment and administrative compliance, periodic reporting, statement review, and complaints.
  • Develop compliance testing program and perform testing to ensure compliance to identified standards; make recommendations to enhance policies and procedures such as, but not limited to, recommending and participation of training to wealth management associates.
  • Generate monthly/quarterly/annual reports regarding a variety of compliance-related metrics. Analyze data to determine enhancements to testing, training, policies, and procedures. Assist with risk assessments and development of KRIs and other tools.
  • Prepare materials in response to internal audits and regulatory exams; provide support during exams.
  • Provide compliance support to Wealth Management’s operations, sales, fiduciary, and investment teams. Partner with the Bank’s FCRM, audit, and compliance teams to ensure consistent risk measurement and management throughout the company.
  • Assist the Chief Fiduciary Officer with a variety of initiatives, including acquisition integration, Municipal Advisor compliance, FINRA compliance for a small RIA, and other projects.

Education & Experience

Knowledge of:

  • Understanding of federal and state laws and regulations, including Reg 9 and fiduciary statutes; research in legal and compliance areas
  • Strong oral and written communication skills
  • Microsoft Office suite of products

Ability to:

  • Manage complex projects and multiple priorities
  • Identify and analyze problem situations and develop appropriate solutions
  • Work independently on specific tasks and projects
  • Work as a team to meeting project deadlines
  • Document work done in a way that is repeatable and auditable

Education and Training:

  • Requires Bachelor’s degree or the equivalent combination of education and experience is required; advanced degree is preferred.
  • Requires 7 or more years in trust compliance, trust audit, trust administration, or trust operations at an FDIC or OCC regulated institution, ideally with assets in excess of $15 billion.

Busey values a diverse and inclusive workplace and strives to recruit, develop and retain individuals with exceptional talent. A team with diverse talent, working together, is essential to Busey’s commitment of delivering service excellence. Busey is an Equal Opportunity Employer including Disability/Vets. Visit Busey.com/Careers to learn more about Busey’s Equal Opportunity Employment.

Joseph Erdman-Bonee - Diversity + Inclusion
Joseph Erdman-Bonee - Diversity + Inclusion
Megin Case - Growth Opportunities
Megin Case - Growth Opportunities
Holli Alexander - Culture
Holli Alexander - Culture
Adam Davis | Get Your Foot in the Door
Adam Davis | Get Your Foot in the Door

COMPANY

HomeEqual OpportunitiesBusey PromiseVolunteerismGiving BackAwards & RecognitionNewsroomInvestor Relations

CONNECT WITH US

TwitterFacebookInstagramLinkedInPrivacy & SecurityTerms of UseEqual Housing LenderMember FDIC

largely logo
Powered by Largely