Search using our robust engine. Get the recommendations you need to get ahead.
Browse through our expansive list of legal practice areas.
Work where you are or where you would like to be. Find where you will work with LawCrossing.
Use our marketplace to feature your opportunity
Start your search today
Set up your account and manage your company profile on LawCrossing
Look through and compare company profiles
Learn from the legal expert
Discover salaries and the scope of your next job
LawCrossing Works Read Testimonials and Share your Story
Carrot Peelers, Sales, Personality and Your Job Search
In-House
Attorney
Corporate
Finance - Banking
Litigation - Whistleblower - CFTC
1-3 yrs required
Financial/Regulatory Analyst- Bank Supervision Analytic The candidate will independently conduct financial analyses of complex financial institutions, and under the general guidance of more experienced staff, identify associated legal, regulatory and supervisory issues in connection with applications, notices, requests for determinations and other filings submitted by these institutions. Will document analyses in well-developed written work products and present findings clearly and succinctly to peers, senior staff and officers. Participate in communications with internal Reserve Bank management and legal staff, Board staff, and external legal counsel of the applicants. Develop and maintain a strong working knowledge of current laws/regulations, risk management practices, industry/economic trends and the responsibilities of other SRC units through formal and on-the-job training, including participation in special projects at the request of unit/department management. Independently conduct financial analyses of complex financial institutions and research and propose resolutions to associated legal, regulatory and supervisory issues identified in connection with applications, notices, requests for determinations and other filings submitted by these institutions. Document analyses relative to regulatory filings and research in support of new or proposed policies and/or procedures in well-developed written work products and present findings clearly and succinctly to peers, senior staff and officers. Participate in communications with internal Reserve Bank management and legal staff, Board staff, and external legal counsel of the applicants. Develop and maintain advanced understanding of current laws/regulations, risk management practices, industry/economic trends and the responsibilities of other SRC units through continued formal and on-the-job learning and by providing direct analytical support to other functions as needed. Provide training and/or serve as a mentor to junior level analysts. Contribute to the achievement of department strategic objectives by leading or participating in special Department or System level projects.
Qualification and Experience
The candidate must have a JD degree and 1 - 3 years of job related experience. Familiarity with banking laws, regulations, policies, and procedures would be preferable as well as a Bachelor’s Degree in Accounting, Finance, or Business and/or advanced degree or professional certification (e.g., CPA, CBA, or CFA). Knowledge and experience normally acquired through, or equivalent to, the completion of a Master's degree and 3+ years of job related experience.
Ref: 241740
Sign Up Now