WHAT YOU'LL DOThe 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.Additional Duties: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 test
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