Hiring.Camp

Regulatory Reporting Operations Professional

Ghr

·

Yesterday

Location
Jacksonville, United States of America
Workplace
Onsite
Type
Full-time
Department
Operations
Source
Workday

Description

Job Description:

At Bank of America, we are guided by a common purpose to help make financial lives better through the power of every connection. We do this by driving Responsible Growth and delivering for our clients, teammates, communities and shareholders every day.

Being a Great Place to Work and providing a culture of caring is core to how we drive Responsible Growth. We are intentional about fostering an inclusive workplace where every teammate has the opportunity to succeed, build a career and contribute to our shared success. This includes attracting and developing exceptional talent, recognizing and rewarding performance, and supporting our teammates’ physical, emotional, and financial wellness through affordable, competitive and flexible benefits.

We value the unique perspectives individuals bring from all backgrounds and career paths - whether shaped by military service, community college education, or a wide range of work and life experiences. These journeys foster resilience, leadership and innovation, strengthening our workforce and positively impact the communities we serve.

Bank of America is committed to an in-office culture that supports collaboration, engagement, and career development. Our approach includes clear in-office expectations, while providing an appropriate level of flexibility based on role-specific responsibilities and business needs.

At Bank of America, you can build a successful career with opportunities to learn, grow, and make an impact. Join us!

Job Description:
This job is responsible for providing analysis for one or more operations product areas in the delivery of moderately complex regulatory reporting and/or regulatory processing. Key responsibilities include analyzing and resolving highly complex operations problems, projects and initiatives, and contributing to the resolution of highly complex problems. Job expectations include coordinating across multiple operations functions and products with the introduction of new initiatives, systems, products, services, and processes.

LOB Job Description:

The Regulatory Reporting Operations Professional supports the AMRS Client Asset Control Group (CACG) within Global Markets Operations, ensuring compliance with U.S. customer protection regulations across multiple broker-dealers. This role drives internal control discipline, SEC Rule 15c3-3 Customer Protection regulatory adherence, and operational excellence through proactive oversight, issue remediation, and impactful change.

Responsibilities:

  • Own the execution and effectiveness of regulatory oversight processes and controls to ensure compliance with client asset protection rules, maintain audit readiness, and drive continuous improvement. 
  • Monitor key process health metrics and control performance indicators to identify emerging risks, measure control effectiveness, and prioritize improvement opportunities.
  • Assess the design and effectiveness of systems, processes, and controls through data analysis, monitoring, and root cause investigation to ensure alignment with regulatory requirements and established standards. 
  • Partner with cross-functional stakeholders to resolve issues and implement control, process, and technology enhancements. 
  • Administer third-party custodial account processes, including account setup, maintenance, coding, reconciliation, and documentation. 
  • Proactively identify, document, assess, and escalate risks, control gaps, and incidents to ensure timely and effective resolution. 
  • Serve as a subject matter expert for audits, regulatory examinations, incident remediation, and strategic change initiatives; lead small to mid-sized projects and workstreams. 
  • Leverage emerging technologies, automation, and data-driven insights to enhance controls, improve operational efficiency, and drive innovative solutions

Required Qualifications:

  • Regulatory Knowledge: 1 - 3 years working knowledge of U.S. customer protection rules (e.g., SEC Rule 15c3-3, CFTC regulations), and/or relevant experience in an operational, compliance, audit, or supervisory capacity.
  • Control & Risk Management: Experience designing, executing, evaluating, and/or enhancing regulatory controls; demonstrated ability to identify, assess, and remediate operational and regulatory risks. 
  • Operational Expertise: Knowledge of broker-dealer operations, such as account management, reconciliation processes, clearing and settlements, third-party custodial arrangements, and regulatory reporting. 
  • Control Monitoring & Governance: Experience utilizing key risk indicators (KRIs), key performance indicators (KPIs), and process health metrics to assess control effectiveness, identify emerging risks, and drive remediation efforts. 
  • Audit & Exam Readiness: Experience supporting internal audits, regulatory examinations, issue remediation, and incident investigations. 
  • Analytical Rigor: Strong analytical and problem-solving skills with a high degree of accuracy and attention to detail; proficient in data analysis, trend identification, root cause investigation, and risk assessment. 
  • Continuous Improvement Mindset: Demonstrated ability to identify process improvement opportunities, challenge existing practices, and implement sustainable solutions that improve control effectiveness and operational efficiency. 
  • Stakeholder Influence: Builds strong cross-functional partnerships and effectively navigates organizational dynamics to influence outcomes. Resolves differing perspectives constructively to achieve consensus and drive optimal solutions. 
  • Initiative & Ownership: Operates independently with strong organizational and time-management skills; effectively manages competing priorities in a fast-paced environment. 
  • Communication Excellence: Delivers clear, concise communication across all levels of the organization and is comfortable presenting complex topics to senior leaders, auditors, and regulators. 
  • Technology & Data Proficiency: Advanced proficiency with Microsoft Office tools, including Excel, PowerPoint, Copilot, and Teams. Experience leveraging data analytics, automation, and emerging technologies to enhance controls, improve efficiency, and support decision-making.

Desired Qualifications:

  • Intellectual Curiosity: Demonstrates a strong desire to learn and quickly understand complex concepts and regulatory frameworks. 
  • Experience with Client Asset Control, Customer Protection, Reserve Formula, or Segregation regulatory functions. 
  • Experience leading regulatory or audit remediation initiatives. 
  • Experience with process automation, workflow optimization, or data visualization tools (e.g., Power BI, Alteryx, Python, SQL). 
  • Prior experience leading projects, workstreams, or change management initiatives.∙
  •  Strives to bring new thoughts and ideas to teams in order to drive innovation and unique solutions
  • Excels in working among diverse viewpoints to determine the best path forward
  • Experience in connecting with a diverse set of clients to understand future business needs - is a continuous learner
  • Commitment to challenging the status quo and promoting positive change.
  • Participate in and drive collaborative efforts to advance tools, technology, and ways of working to better serve an evolving client base
  • Believes in value of diversity so we can reflect, connect and meet the diverse needs of our clients and employees around the world

Skills:

  • Problem Solving
  • Reporting
  • Attention to Detail
  • Critical Thinking
  • Data Quality Management
  • Prioritization
  • Risk Management
  • Analytical Thinking
  • Data Mining
  • Decision Making

Shift:

1st shift (United States of America)

Hours Per Week: 

40

Skills

PythonSQLExcelPower BIRisk ManagementComplianceChange Management

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