Manager, Corporate Compliance Job in California


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Job title: Manager, Corporate Compliance

Company: Hyundai Capital America

Expected salary:

Location: Irvine, CA

Manager, Corporate Compliance Job Details:

Who We Are: Through our service brands Hyundai Motor Finance, Genesis Finance*, and Kia Motors Finance, we provide financial products tailored to meet the needs of Hyundai, Genesis, and Kia dealerships nationwide, including dealer inventory and facility financing. And, through these dealerships, we provide indirect vehicle financing and leasing solutions to over 1.7 million retail customers.

Employee Value Prop and Culture: Our employees contribute every day to a culture that is fast-paced, dynamic, energized, agile, and collaborative.

From our various engagement programs to the unique design of our offices, we strive to foster a connected, fun, positive and rewarding company culture where employees feel appreciated for their contributions, proud of their company, and thrive to be passionately invested in HCA’s success.

Global One Company:

Many countries. One identity. Hyundai Capital has offices across the world, including China, Canada, the United Kingdom, Germany, Russia, Brazil and Korea. Our work environments are designed with specific themes in mind to achieve a consistent global identity that reflects our values: light, collaboration, elements of nature and symmetry.

General Summary:

The Manager, Corporate Compliance, is responsible for ensuring that HCA complies with applicable laws, regulations and company published policies and procedures. The Manager, Corporate Compliance will be accountable for overseeing the successful completion of compliance projects, including compliance reviews, risk assessments, identification of new compliance assessment areas, compliance training, supporting ACL testing and will oversee the implementation of remediation projects. The Manager, Corporate Compliance will perform the assigned responsibilities as both an individual contributor and managing team resources on a project-by-project basis. The successful candidate will have significant auto finance industry and operational compliance experience.

Duties and Responsibilities:

1. Responsible for conducting periodic operational risk assessments of internal process, policy, procedure, and systems and compliance reviews covering emerging compliance risk topics. Prepare and present recommendations for improvement with appropriate analysis on root cause of identified gaps, and assist with the development, tracking, and completion of remediation plans.

2. Partner with the Manager, Servicing Operational Compliance to evaluate legal and regulatory developments, trends, and best practices and assess the potential impact of changes on operational processes to identify additional training and Audit Control Language (ACL) testing opportunities. Assist with the planning, scoping, and execution of ACL testing in collaboration with the testing and monitoring team by providing monthly testing data and ensuring data integrity through regular validation of ACL script output, analyzing data, and reporting on current performance, trends and opportunities for improvement as needed. Conduct periodic gap analysis and risk rating of existing compliance testing assessments in coordination with the Testing and Monitoring Team Manager, to identify opportunities for new assessments or compliance reviews based on observations from prior testing activities, federal and state examination results, regulatory changes and CFPB or state enforcement actions.

3. Manage and track completion of compliance issues related to new or revised laws and regulations, internal audits, compliance assessments and operations identified issues, collaborating with applicable business units, to assess and identify the needed changes or additions to the company’s P&Ps.

4. Lead various compliance related projects and initiatives focused on process enhancements, working with business areas to develop and implement changes/solutions and executing on recommendations while maintaining project schedules and task details to ensure successful project completion.

5. Assist with obtaining and reviewing documentation for regulatory/licensing examinations and regulatory investigations, as directed.

Knowledge and Skills:

· Advanced knowledge of Microsoft Office, specifically Excel, Word, and PowerPoint

· Strong understanding of consumer protection regulations related to consumer lending, including but not limited to, ECOA, FCRA, FDCPA, TILA and GLBA

· Excellent oral and written communication skills, including ability to communicate in detail regarding deviations from Policy and Procedure.

· Exhibit strong analytical, problem solving and project management skills

· Demonstrated ability to coach, develop, and manage employee performance.

· Must possess strong interpersonal skills and be able to work well in both a team environment and independently.

· Ability to adapt quickly to change, handle multiple competing projects, work with complex subject matter, possess keen attention to detail and deliver quality results in a timely manner.

Qualifications

· Ten plus years’ related lender / consumer finance industry experience.

· Minimum seven years compliance and/or internal audit experience at a federally regulated financial institution.

· Previous experience managing large and complex compliance or audit remediation projects

· Bachelor’s degree in legal studies, finance, business, or a related field required.

· Compliance Certification highly preferred (e.g., CRCM or similar).

Physical Requirements and Working Condition:

Employees in this class are subject to extended periods of sitting, standing and walking, vision to monitor and moderate noise levels. Work is performed in an office environment.

California Privacy Notice

This notice only applies to our applicants who reside in the State of California.

The latest version of our Privacy Policy can be found . This Privacy Policy provides you with notice, at or before the point of collection, about the categories of personal information to be collected from you, the purposes for which your personal information is collected or used, and whether that information is sold or shared, so that you can exercise meaningful control over our use of your personal information. We are providing this notice to comply with the California Consumer Privacy Act of 2018, as amended as amended by the California Privacy Rights Act of 2020 (“CCPA”).

If you have any questions about CCPA regarding California residents or HCA team members, please contact the Privacy Team at .
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