CRA Officer

Posted 19 Days Ago
Be an Early Applicant
Miami, FL, USA
Hybrid
Mid level
Fintech • Software • Financial Services
The Role
Administers and coordinates the bank’s Community Reinvestment Act program, supporting regulatory compliance, governance, examination readiness, performance monitoring, reporting, risk assessments, and remediation. Conducts CRA eligibility analysis, maintains documentation and metrics, monitors regulatory developments, prepares management and Board reports, and partners with audit, risk, legal, and business teams. Requires knowledge of CRA, Regulation BB, supervisory guidance, and experience in regulated financial institution compliance.
Summary Generated by Built In

The CRA Officer is responsible for the day-to-day administration and coordination of the Bank's Community Reinvestment Act (CRA) Program and supports the Chief Compliance Officer in maintaining effective oversight of CRA governance, regulatory compliance, examination readiness, performance monitoring, reporting, and risk management activities.

The role is responsible for supporting the development, implementation, and ongoing enhancement of the Bank's CRA framework, ensuring compliance with applicable regulatory requirements and supervisory expectations. The position provides regulatory analysis, monitoring, reporting, and governance support to ensure the Bank maintains a well-documented, regulator-ready CRA Program and continues to meet its community development objectives.

 

Key Responsibilities

Community Reinvestment Act (CRA) Program Oversight

  • Serve as the day-to-day administrator of the Bank's CRA Program and support the CCO in maintaining effective oversight of CRA policies, procedures, governance, and examination readiness.
  • Monitor and assess CRA performance against established goals and regulatory expectations across community development loans, investments, services, volunteer activities, and charitable contributions.
  • Coordinate the identification, evaluation, documentation, and tracking of CRA-qualified activities.
  • Conduct CRA eligibility and qualification analysis for community development loans, investments, services, grants, and other CRA-related activities.
  • Maintain CRA records, documentation, data integrity, performance metrics, and management reporting.
  • Coordinate CRA regulatory reviews, examinations, and supervisory requests.
  • Prepare CRA reports and updates for Senior Management, management committees, and the Board.
  • Support the development and execution of the Bank's CRA strategy and annual CRA planning initiatives.
  • Monitor regulatory developments, supervisory guidance, and industry trends related to CRA and recommend appropriate program enhancements.
  • Assist in developing and delivering CRA-related training and awareness initiatives.

Governance, Risk & Reporting

  • Perform CRA risk assessments and support the maintenance of CRA monitoring, governance, and control frameworks.
  • Prepare management reports, dashboards, key risk indicators, performance metrics, and governance updates.
  • Maintain examination-ready documentation, evidence repositories, issue tracking logs, and remediation plans.
  • Escalate significant compliance risks, regulatory concerns, control deficiencies, and emerging issues to the CCO.
  • Partner with Internal Audit, Risk Management, Legal, and business units to strengthen CRA governance, controls, and oversight processes.
  • Analyze regulatory developments, supervisory priorities, and examination trends impacting the Bank's CRA Program.
  • Support the preparation of regulatory responses, corrective action plans, and examination remediation efforts, as needed.
 

Qualifications

Education

  • Bachelor's degree in Business, Finance, Economics, Accounting, Law, Risk Management, or a related field.
  • Master's degree preferred.

Experience

  • Minimum of 3-5 years of experience in CRA compliance, regulatory compliance, banking supervision, compliance risk management, or related functions within a regulated financial institution.
  • Strong knowledge of the Community Reinvestment Act, Regulation BB, Interagency CRA guidance, and applicable supervisory expectations.
  • Experience managing or supporting CRA examinations, audits, monitoring programs, and regulatory reporting.
  • Demonstrated ability to interpret regulatory requirements and translate them into practical policies, controls, governance processes, and business practices.
  • Experience preparing senior management, committee, and Board-level reporting.
  • Experience supporting CRA performance monitoring, community development initiatives, and strategic CRA planning.
  • Experience in a community bank, regional bank, de novo bank, or similar financial institution preferred.

Preferred Certifications

  • Certified Community Reinvestment Act Professional (CCRAP)
  • Certified Regulatory Compliance Manager (CRCM)
  • 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, Economics, Accounting, Law, Risk Management, or a related field
  • 3–5 years of experience in CRA compliance, regulatory compliance, banking supervision, compliance risk management, or related functions within a regulated financial institution
  • Strong knowledge of the Community Reinvestment Act, Regulation BB, Interagency CRA guidance, and applicable supervisory expectations
  • Experience managing or supporting CRA examinations, audits, monitoring programs, and regulatory reporting
  • Ability to interpret regulatory requirements and translate them into policies, controls, governance processes, and business practices
  • Experience preparing senior management, committee, and Board-level reporting
  • Experience supporting CRA performance monitoring, community development initiatives, and strategic CRA planning
  • Experience in a community bank, regional bank, de novo bank, or similar financial institution
  • Master’s degree
  • Certified Community Reinvestment Act Professional certification
  • Certified Regulatory Compliance Manager certification or other relevant compliance, audit, or risk certification
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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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