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Equifax, Inc. Senior Director, Compliance - J00158986 in Atlanta, Georgia

The Senior Director, Compliance, will provide support for regulatory inquiries and exams. The position will have responsibility for internal efforts to respond to requests from U.S. regulators with supervisory authority over Equifax, including the Consumer Financial Protection Bureau (CFPB) and State financial services and consumer protection agencies, support regulatory engagements, and provide compliance guidance related to regulatory requirements. This position will manage individual project priorities, deadlines and deliverables, as well as support other compliance initiatives. The Senior Director, Compliance, will be a versatile team player, display leadership qualities, and be enthusiastic in addressing new challenges across the organization.

This role reports to the Deputy Chief Compliance Officer and will be a hybrid workplace model offering the flexibility to work remotely as well as in our office building in Midtown! We are 3 days in-office (Tues-Thurs) and 2 days WFH. (This is not a fully-remote role) What You'll Do: Provide support for managing regulatory inquiries and exams. Work closely with teams across Equifax to conduct investigations and prepare responses to regulatory inquiries. Manage document and information collection necessary to respond to information requests. Maintain engagement trackers and drive organized document collection and production. Support the monitoring and testing of compliance controls for effectiveness. Maintain visibility into emerging regulatory issues, including US laws and regulations that may impact Equifax. Review company processes, policies, controls, operational requirements, and procedures to identify process improvements as they relate to compliance. Manage metrics related to role and, where applicable, content for other leadership reports. What Experience You Need : Four (4) years minimum of relevant regulatory, compliance, or analogous experience, preferably in the financial services industry; or two (2) years minimum of relevant law firm experience. Bachelor's degree. Prior paralegal experience is strongly preferred. Strong verbal and written communication skills with both technical and non-technical partners, with focus on informing, influencing, and relationship building. In-depth understanding of the financial services industry, including the regulatory landscape and consumer financial protection laws, specifically FCRA. Experience interpreting financial services regulations. Excellent project management and coordination skills with proven ability to meet deadlines, prioritize assignments, and run multiple projects. Demonstrated partnering skills, with experience coordinating initiatives with partners in a multinational organization. What Could Set You Apart: Direct experience with CFPB supervisory engagements Juris Doctorate would be a plus, but not required.

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Equal Opportunity Employer - minorities/females/veterans/individuals with disabilities/sexual orientation/gender identity

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