Minimum of 3 years’ experience in audit, regulatory examination, compliance testing, or similar capacity; Minimum of 3 years' experience within the banking and financial sector, with a focus on Federal and State laws, regulations, and supervisory guidance, risk management, or a combination of these disciplines within support functions such as Risk Management / Compliance Governance Programs, Human Resources, Finance, Legal, etc. Strong presentation and written communications skills; ability to interact with and influence senior executive management across the organization in order to achieve best practices and optimal business outcomes; Corporate Compliance, Risk Management, Regulatory or Compliance Audit experience with a regulated financial institution.