Manager, IT Risk and Compliance

Posted 2 Days Ago
Be an Early Applicant
Dallas, TX, USA
In-Office
Senior level
Real Estate • Financial Services
The Role
Manages IT risk and compliance programs, including SOX compliance, information security audits, risk assessments, application access reviews, internal controls, IT policies, regulatory monitoring, and audit activities. Oversees risk mitigation, privacy compliance, business continuity, disaster recovery, incident response planning, and governance framework implementation. Provides guidance to staff, evaluates compliance technologies, and supports continuous improvement initiatives.
Summary Generated by Built In

JOB OVERVIEW

The Manager – IT Risk and Compliance reports to the Executive Director - IT Risk & Compliance, and ensures that all IT operations, processes, and systems are compliant with industry standards and legal regulations. Utilizes a strong background in IT audit, risk, and compliance, with a focus on SOX compliance and operational information security audits. Conducts risk assessments, manages access to applications, and develops internal controls in coordination with the Executive Director, IT Risk & Compliance. May lead or mentor IT professionals as the team structure evolves. Leverages a deep understanding of IT governance frameworks, data privacy laws, network security architecture, and business continuity planning.

RESPONSIBILITIES & DUTIES

  • Ensure that all IT operations, processes, and systems comply with industry standards and legal regulations, including a focus on SOX compliance and operational information security audits.

  • Conduct comprehensive risk assessments and manage the mitigation of identified risks to maintain the integrity and security of company IT infrastructure.

  • Oversee access to all applications, ensuring that only authorized individuals have access to relevant data and systems.

  • Develop and maintain robust internal controls, in coordination with the Executive Director, to safeguard the company’s digital assets and data.

  • Develop and maintain IT policies and procedures, subject to Executive Director review and approval, to support the company’s operations and regulatory compliance.

  • Conduct regular reviews of system access and IT controls to identify potential weaknesses and areas for improvement.

  • May provide guidance and mentorship to IT risk and compliance staff as team responsibilities expand.

  • Monitor regulatory changes and developments to ensure company practices remain in compliance, escalating findings and recommendations to the Executive Director, IT Risk & Compliance.

  • Evaluate and recommend new technologies to improve compliance and risk management processes.

  • Support and help implement programs/initiatives to enhance compliance awareness, contributing to continuous improvement of the Company’s Compliance and Risk Management programs under the direction of the Executive Director.

  • Travel to various locations, both within our organization and externally, may be required depending on your role and responsibilities.

  • Follows assigned work schedule with regular and predictable attendance.

  • Performs other duties as assigned.

QUALIFICATIONS

  • Over 6 years of experience in IT audit, risk, and compliance.

  • Bachelor's degree in Information Technology, Computer Science, or a related field required. Advanced degrees or certifications in IT compliance or risk management are preferred.

  • Proven experience in leading IT SOX compliance and operational information security audits.

  • Strong understanding of industry standards and legal regulations related to IT and data compliance.

  • Excellent problem-solving skills and the ability to work under pressure.

  • Strong communication skills and the ability to work effectively with both technical and non-technical staff.

PROFESSIONAL CERTIFICATIONS

  • Relevant certifications such as CISA, CRISC, CDPSE, and CISM from ISACA.

  • SIE Certification

  • Series 99

  • Series 7 preferred

  • If you do not already have a Securities license relevant to your role at Innovayte, you may be required to take and pass the Securities Industries Essentials exam provided by FINRA. In addition, based on your role responsibilities, you may also be required to pass additional Securities Industry exams to allow you to operate in your role and be compliant with FINRA and the SEC requirements. These licenses, when required, need to be obtained within certain specific time frames, typically 120 calendar days. 

TECHNICAL SKILLS

To be successful in this role, you should have experience with and an understanding of the following:

  • Experience with cloud-based data compliance, including familiarity with platforms like Microsoft Azure.

  • Knowledge of IT governance frameworks such as COBIT, ITIL, and ISO 27001.

  • Proficiency in using GRC (Governance, Risk, and Compliance) tools for risk assessments and compliance management.

  • Experience with data privacy laws such as GDPR, CCPA, and HIPAA.

  • Understanding of network security architecture and security system design.

  • Experience with incident response planning and security breach drills.

  • Proficiency in conducting internal and external audits for IT compliance.

  • Experience with business continuity planning and disaster recovery strategies.

CULTURAL COMPETENCIES

Innovayte is dedicated to building an environment where each team member can thrive, contribute meaningfully, and grow professionally and personally. We believe that our core values—rooted in

  • respect,

  • empowerment,

  • innovation,

  • service,

  • integrity,

  • trust, and

  • accountability

are essential to achieving our mission. These values guide us in everything we do, from daily interactions to strategic decisions. We’re looking for individuals who not only share these principles but are excited to bring them to life in meaningful ways.

PHYSICAL DEMANDS/WORK ENVIRONMENT

This job operates in a professional office environment, which may include a corporate office setting or a remote/home office environment, and routinely uses standard office equipment and technology such as computers, phones, printers, and video conferencing tools. While performing the duties of this job, the associate is regularly required to communicate effectively, including speaking, hearing, and participating in virtual meetings on camera. The associate is frequently required to sit for extended periods of time, as well as occasionally stand, walk, use hands and fingers, and reach with hands and arms. This job may require the ability to lift files or office materials, open filing cabinets, and bend or stand on a stool as necessary. Remote associates are expected to maintain a safe, secure, and productive work environment with reliable internet access.

DISCLAIMER/ASSOCIATE ACKNOWLEDGEMENT

The above statements describe the general nature and level of work only. They are not an exhaustive list of all required responsibilities, duties, and skills. Other duties may be added, or this description amended at any time.

Equity Trust Company is an equal opportunity at will employer and does not discriminate against any employee or applicant for employment because of age, race, religion, color, disability, sex, sexual orientation, or national origin.

Skills Required

  • Over 6 years of experience in IT audit, risk, and compliance
  • Bachelor’s degree in Information Technology, Computer Science, or a related field
  • Experience leading IT SOX compliance and operational information security audits
  • Strong understanding of IT industry standards and legal regulations
  • Excellent problem-solving skills and ability to work under pressure
  • Strong communication skills and ability to work with technical and non-technical staff
  • Experience with cloud-based data compliance and Microsoft Azure
  • Knowledge of COBIT, ITIL, and ISO 27001 governance frameworks
  • Proficiency with Governance, Risk, and Compliance tools
  • Knowledge of GDPR, CCPA, and HIPAA data privacy laws
  • Understanding of network security architecture and security system design
  • Experience with incident response planning and security breach drills
  • Experience conducting internal and external IT compliance audits
  • Experience with business continuity planning and disaster recovery strategies
  • Relevant advanced degree or IT compliance/risk management certification
  • CISA, CRISC, CDPSE, or CISM certification
  • SIE certification or successful completion within the required timeframe if applicable
  • Series 99 license or successful completion within the required timeframe if applicable
  • Series 7 license
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The Company
HQ: Westlake, OH
430 Employees
Year Founded: 1974

What We Do

Equity Trust Company is a financial services company that enables individual investors, financial professionals and institutions to diversify investment portfolios through alternative asset classes, including real estate, tax liens, private equity and precious metals. Equity Trust Company (or its affiliates) offers custodial services for alternative investments, investment in alternative assets with individual retirement accounts, back-office solutions for RIAs, brokerage services, directed trustee services and more. Equity Trust Company evolved from a predecessor brokerage firm that started in 1974, to a financial services company today with over $39 billion in assets under custody and administration (as of 1/31/23). Visit www.TrustETC.com for more information. For career opportunities, visit www.TrustETC.com/careers.

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