CRA & Consumer Compliance Officer

Posted 7 Days Ago
Be an Early Applicant
Miami, FL, USA
Hybrid
Senior level
Fintech • Software • Financial Services
The Role
Support the CCO in maintaining CRA and Consumer Compliance programs, ensuring regulatory examination readiness, performing regulatory analysis, monitoring, reporting, risk assessments, and governance across mortgage, lending, deposits, fair lending, privacy, UDAAP, electronic banking, complaints, and remediation activities.
Summary Generated by Built In

Position Summary

The CRA & Consumer Compliance Governance Officer supports the CCO in maintaining the Bank’s CRA and Consumer Compliance Programs, with a strong focus on U.S. banking regulations, OCC and FDIC supervisory expectations, regulatory examination readiness, and effective compliance risk management. The role supports governance across CRA, fair lending, mortgage, credit card, deposit, lending, privacy, UDAAP, complaints, electronic banking, and other applicable consumer protection requirements.

The position provides regulatory analysis, monitoring, reporting, and governance support to the CCO and management, working with business and control functions to identify risks, strengthen controls, support issue remediation, and maintain a well-documented, regulator-ready compliance framework.

 

Key Responsibilities

Community Reinvestment Act (CRA) Oversight

  • Support the CCO in maintaining the CRA Program, related policies, procedures, governance framework, and examination readiness.
  • Monitor CRA performance across lending, community development services, investments, volunteering, and charitable contributions.
  • Maintain CRA records, documentation, data integrity, performance metrics, and management reporting.
  • Coordinate CRA regulatory reviews and support reporting to senior management, committees, and the Board.
  • Monitor CRA regulatory developments and recommend practical program enhancements.

Consumer Compliance Oversight

  • Support the CCO in maintaining the Consumer Compliance Management System (CMS) and related governance framework.
  • Provide regulatory support across applicable consumer protection laws, including mortgage, credit card, deposit, lending, fair lending, privacy, UDAAP, complaint management, and electronic banking requirements.
  • Review consumer products, services, disclosures, marketing materials, customer communications, and new product initiatives for regulatory risk.
  • Support compliance monitoring, testing, regulatory change management, issue tracking, remediation, and consumer harm/root-cause analysis.
  • Coordinate support for consumer compliance examinations, supervisory inquiries, internal audits, and external reviews.
  • Translate regulatory requirements and supervisory expectations into practical controls, procedures, monitoring plans, and business guidance.

Governance, Risk & Reporting

  • Perform CRA and consumer compliance risk assessments and support maintenance of policies, procedures, and monitoring frameworks.
  • Prepare reports, dashboards, key risk indicators, training materials, and governance updates for management and Board committees.
  • Escalate significant compliance risks, regulatory concerns, control gaps, and remediation matters to the CCO.
  • Maintain examination-ready governance records, evidence, issue escalation, ownership, and remediation tracking.
  • Collaborate with Internal Audit, Risk Management, Legal, and business units to strengthen compliance governance.
  • Provide analysis on regulatory trends, supervisory priorities, and impacts to the Bank’s products, services, controls, and strategic initiatives.
 

Qualifications

Education

  • Bachelor’s degree in business, Finance, Accounting, Economics, Law, Risk Management, or a related field.
  • Master’s degree or Juris Doctor (JD) preferred.

Experience

  • Minimum of 7–10+ years of progressive experience in U.S. banking regulatory compliance, consumer compliance, CRA, fair lending, compliance risk management, or regulatory examination support.
  • Strong working knowledge of U.S. banking laws, OCC and FDIC supervisory expectations, and consumer protection regulations applicable to national banks or federally supervised financial institutions.    
  • Experience supporting CRA programs, consumer compliance governance, regulatory examinations, audits, monitoring, testing, risk assessments, and issue remediation.
  • Demonstrated ability to interpret complex regulations, supervisory guidance, examination findings, and enforcement trends into practical controls, procedures, and business requirements.
  • Experience preparing regulatory responses, management reports, Board or committee materials, monitoring results, and remediation documentation.
  •  Experience in a community bank, regional bank, de novo bank, or similar financial institution preferred.

Certifications (Preferred)

  • Certified Regulatory Compliance Manager (CRCM)
  • Certified Community Reinvestment Act Professional (CCRAP) or similar CRA-related certification
  • Other relevant compliance, audit, or risk certifications

    Compliance with Anti-Money Laundering and Bank Secrecy Act related principles, laws, rules and regulations, as well as Itau’s related policies and procedures.

Equal Opportunity Employer
This employer is required to notify all applicants of their rights pursuant to federal employment laws. For further information, please review the Know Your Rights notice from the Department of Labor.

Skills Required

  • Bachelor's degree in Business, Finance, Accounting, Economics, Law, Risk Management, or related field
  • Master's degree or Juris Doctor (JD)
  • Minimum of 7-10+ years progressive experience in U.S. banking regulatory compliance, consumer compliance, CRA, fair lending, or regulatory examination support
  • Strong working knowledge of U.S. banking laws, OCC and FDIC supervisory expectations, and consumer protection regulations
  • Experience supporting CRA programs, consumer compliance governance, regulatory examinations, audits, monitoring, testing, risk assessments, and issue remediation
  • Ability to interpret complex regulations and supervisory guidance into practical controls, procedures, and business requirements
  • Experience preparing regulatory responses, management reports, and Board/committee materials
  • Experience in a community bank, regional bank, de novo bank, or similar financial institution
  • Certifications such as CRCM or CCRAP (or similar CRA/compliance certifications)
  • Compliance with Anti-Money Laundering (AML) and Bank Secrecy Act (BSA) principles and related policies
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The Company
HQ: Miami, Florida
304 Employees

What We Do

Itaú Unibanco is a global financial services firm and the largest private sector financial institution in Latin America. Headquartered in São Paulo, Brazil, Itaú is a full-service financial institution that offers a complete spectrum of financial products and services to a broad range of clients, from individuals to the most sophisticated institutional investors. Itaú has operations in 19 countries throughout the Americas, Asia, Middle East and Europe. In the United States, Itaú has offices in Miami and New York with three lines of business offering a broad range of corporate investment, asset management and private banking services. Learn more: - Private Bank (search for "Itaú Private Bank"​) - Asset Management (search for "Itaú Asset Management"​) - Corporate & Investment Bank (search for "Itaú BBA"​) The information contained herein is for reference/informational purposes only, and does not constitute any invitation or recommendation of investments of any kind. The information is provided “as is” and Itaú does not warrant its accuracy, completeness or adequacy, nor does it undertake any obligation to maintain it updated at all times.

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