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Finance - Banking Attorney in Springfield, MO

Wolters Kluwer Financial Services Mar 14,2023 Feb 20,2023 Location USA Springfield MO
This job is expired...

In-House

Attorney

Finance - Banking

5-8 yrs required

Profile

Senior Specialized Consultant The candidate will identify, research, analyze, and summarize new and updated legal or compliance-related statutory and regulatory requirements for inclusion in the company's banking products. Effectively translate complex regulations into product solutions by authoring legal/compliance content, creating product content design requirements, writing business rules and summaries, and educating internal and external customers on legal/compliance requirements and their implications. Assess compliance and business risk, design risk mitigation options for the company and its customers, provide regulatory compliance consulting to support software implementation, consult with customers on business and industry needs, and identify and recommend product enhancements and new business opportunities. May provide support to the sales team through various stages of customer engagement. Lead complex and diverse compliance-related projects. Function as Commercial Lending Subject Matter Expert (SME) to provide business requirements for implementation in the company products and educate internal customers (product management, customer support, etc.) on regulatory requirements. Identify and lead product content review projects. Ensure all work done by the team on assigned product/line of business is completed according to design specifications and all content updates are of the highest quality. Cultivate a culture that includes customer-focused product innovations with speed to market. Work with team members to identify and assess opportunities and present them to Product Management. Contribute to the development of business requirements and specifications for internal processes and products, and updates to content management systems. Provide time, effort, and risk estimates for regulatory changes and larger projects (enhancements/new features). May share compliance expertise by creating and presenting webinars, writing white papers, and providing media interviews. Provide training, coaching, and mentoring to help other employees acquire and apply compliance knowledge. Demonstrate enhanced knowledge relevant to the company's banking, insurance, or securities products including legal and compliance knowledge, financial transactions expertise, and industry best practices, and apply this knowledge for continuous improvement of the company's products in the areas of content quality, product enhancements, and operational efficiencies. Demonstrate enhanced understanding of software architecture concepts and comfort with software development, including topics such as database architecture, XML-based authoring, business rules, and application interfaces. Track, review and analyze complex regulatory/statutory changes, customer requests, and market opportunities, and determine the impact to the company's products; and provide guidance to consultants. Monitor external websites and publications for legal/compliance and industry changes. Author customer communications (e.g., release notes, alerts, etc.) and provide guidance to consultants. Develop and maintain effective relationships with internal and external customers and appropriate industry contacts. Respond to compliance and product-related inquiries from internal and external customers with priority and excellence. Develop enhanced compliance expertise and stay abreast of regulatory changes through self-study, continuing education classes, and attending industry webinars and conferences. Focus on continuous improvement and drive execution of product and/or process improvements. Provide quality work product on time (within project scope, schedule, and budget) and without defects. Immediately identify and remove any impediments that put a deadline at risk. Demonstrate an ability to work collaboratively with in-house departments. Manage administrative requirements, including timely submission of timesheets/billings, and adhere to CCOE deadlines. Summarize legal/compliance issues for legal or non-legal audiences.

Qualification and Experience

The candidate should have a Juris Doctorate degree. Should have Bar admission in at least one State with current active practice law license and in good standing within all jurisdictions to which admitted. Should preferably have 5-8 years of experience in banking or financial services. Relevant business acumen or business-to-business experience is required. Significant transactional experience as a legal analyst involving a high degree of responsibility and independence is needed. Should have demonstrated excellence in researching, analyzing, and managing moderately complex products or projects. Must have demonstrated enhanced ability to apply the major financial institution regulations requirements including, Regulation B (Equal Credit Opportunity Act), Regulation C (HMDA), Regulation CC (funds availability), Regulation DD (Truth in Savings), Regulation E (Electronic banking), Regulation X(RESPA), Regulations Z (Truth in Lending). Should also have proficiency with Word, Excel, and other MS Office products, as well as other software products and tools.

Additional info

Job Requisition ID: R0032927

Company info