IT Governance Risk & Compliance (GRC) Analyst Trustmark CorpIT Governance Risk & Compliance (GRC) AnalystRidgeland, MSCore responsibilities include ensuring operational alignment with frameworks such as GLBA, FFIEC, SOX, NIST CSF, and the Computer Risk Institute (CRI) Profile; conducting IT assessments and Risk Control Self Assessments (RCSAs); maintaining control libraries; and supporting recurring testing, reporting, and metrics analysis and response. The analyst contributes to recurring reporting cycles, supports departmental risk remediation and response efforts associated with findings and risks, and helps drive continuous improvement of governance practices through collaboration, documentation, and control maturity efforts.
IT Governance Risk & Compliance (GRC) Analyst Trustmark BankIT Governance Risk & Compliance (GRC) AnalystRidgeland, MississippiFull timeCore responsibilities include ensuring operational alignment with frameworks such as GLBA, FFIEC, SOX, NIST CSF, and the Computer Risk Institute (CRI) Profile; conducting IT assessments and Risk Control Self Assessments (RCSAs); maintaining control libraries; and supporting recurring testing, reporting, and metrics analysis and response. The analyst contributes to recurring reporting cycles, supports departmental risk remediation and response efforts associated with findings and risks, and helps drive continuous improvement of governance practices through collaboration, documentation, and control maturity efforts.
IT Risk Director, Technology Risk Management Resiliency & Business Continuity Huntington Bancshares IncIT Risk Director, Technology Risk Management Resiliency & Business ContinuityTupelo, MSSummary: The IT Risk Director, Resiliency & Business Continuity is responsible for leading the First Line Resiliency and Business Continuity Program across assigned business segments. Oversee the development and execution of continuity and resiliency testing programs, including targeted risk assessments, tabletop exercises and recovery validation activities.
Senior Cybersecurity Risk & Governance Analyst mTradeSenior Cybersecurity Risk & Governance AnalystOxford, MississippiThis role is responsible for helping identify, assess, monitor, and communicate cyber and technology risks across the organization while supporting third-party risk management, customer due diligence activities, audit coordination, and security governance initiatives. Demonstrated experience applying at least one recognized cybersecurity, risk, or control framework, such as NIST CSF, NIST 800-53, ISO 27001, CIS Controls, SOC 2, FFIEC, or PCI DSS.
NewSr Consultant, Risk Management - P&C (Fleet) Nationwide Mutual Insurance CoSr Consultant, Risk Management - P&C (Fleet)MSRemote$122,000–$214,000 / yearNationwide pays on a geographic-specific salary structure and placement within the actual starting salary range for this position will be determined by a number of factors including the skills, education, training, credentials and experience of the candidate; the scope, complexity and location of the role as well as the cost of labor in the market; and other conditions of employment. Drives technical direction of specialty related to quality control, risk selection, competitive monitoring, and development of knowledge and partnerships across related business units within the enterprise (underwriting, systems, services, claims, sales, distribution, marketing, etc.).
RN - Risk Management Coordinator University of Mississippi Medical CenterRN - Risk Management CoordinatorJackson, MSCertified Professional Healthcare Risk Management from the American Society for Healthcare Risk Management or Certified Professional in Patient Safety from the Institute for Healthcare Improvement required post-hire within 18 months. Assists in reviewing clinical practices for quality improvement and loss control; recommends corrective actions; ensures adherence to policy and consistency of care; inputs data and prepares reports.
Financial Crimes Risk Manager Origin BankFinancial Crimes Risk ManagerMSOversees scheduled Enhanced Due Diligence (EDD) reviews of accounts deemed as high risk, including but not limited to Money Service Businesses (MSBs), Marijuana/Cannabis-related Businesses (including those adjacent to this industry), Non-Bank Financial Institutions (NBFIs), Politically Exposed Persons (PSPs), Non-Resident Alien (NRA), Privately-Owned ATM Operators (POATMs), Crypto-Currency, etc. Summary: The Financial Crimes Risk Manager will manage and ensure the bank's compliance with the assessment of financial risk of customer's, ensuring the Bank's compliance with the applicable aspects of the Bank Secrecy Act (BSA), USA PATRIOT Act, and Office of Foreign Assets Control (OFAC) regulations by monitoring, identifying, reporting, and investigating suspicious activity relative to potential money laundering activity, financial crimes and/or terrorist financing.
Principal Analyst - Compliance Anheuser-Busch InBevPrincipal Analyst - ComplianceService, MSThe Principal Analyst- Compliance, will be responsible for ensuring Zonal Compliance and managing stakeholder relationship within GCC stakeholders, Zonal stakeholders, and Global internal control Director. 3-6 years of total experience in the area of SOX, Internal Audit, Statutory audit whether in a consulting / client facing role or in-house corporate role.
High-Risk Team Lead Synovus Financial CorpHigh-Risk Team LeadMSJob Summary: The BSA Advisor is responsible for providing expert guidance and oversight on the organization''s Bank Secrecy Act (BSA) and Anti-Money Laundering (AML) compliance program. Job Duties and Responsibilities: The BSA Advisor reviews and analyzes transaction activity to detect potential suspicious activity and ensure compliance with BSA/AML regulations.
Credit Risk Management Officer III Origin BankCredit Risk Management Officer IIIRidgeland, MSAnalyzes credit data and financial statements of individuals and/or firms to determine the degree of risk involved by performing the following duties for the preparation of the allowance for credit loss calculation and preparation of forward looking stress tests. Portfolio stress testing (including all Commercial Real Estate (CRE) loans, together with construction, multifamily and commercial real estate for investment purposes; and C & I and consumer loans) is used to develop contingency planning.
Cybersecurity Risk Assessment Specialist Booz Allen HamiltonCybersecurity Risk Assessment SpecialistUsa, Mississippi$99,000–$225,000 / yearThis is your opportunity to act as an information security subject matter expert while broadening your skills in cross-domain data transfer systems, securing environmental intelligence, and managing cyber risk across all classification levels for DoD data and systems. Onsite : If this position is listed as onsite, work will primarily be performed at a Booz Allen office or customer facility, where employees will collaborate directly with colleagues and customers as required by the role.
Segment Risk Manager Sr - Business Continuity & Resiliency Huntington Bancshares IncSegment Risk Manager Sr - Business Continuity & ResiliencyTupelo, MSSummary: The Segment Risk Manager Sr - Business Continuity & Resiliency leads operational risk oversight while owning the design and execution of business continuity, disaster recovery, and resiliency programs for a major business segment. All unsolicited resumes sent to any Huntington Bank colleagues, directly or indirectly, will be considered Huntington Bank property.
Grand Bank - BSA/AML Compliance Analyst Continental Finance Company LLCGrand Bank - BSA/AML Compliance AnalystHattiesburg, MSReview transaction monitoring and fraud alerts, customer activity, deposits, wires, ACH transactions, cash activity, credit card activity, and other higher-risk transactions; document research, conclusions, and escalation Assist with Suspicious Activity Report ("SAR") investigations and Currency Transaction Report ("CTR") preparation, review, documentation, filing, and record retention in accordance with regulatory deadlines and Bank procedures. At least 3 years of experience in banking compliance, consumer compliance, BSA/AML, credit card compliance, compliance testing, audit, risk management, or a related financial services function; 5 years Working knowledge of consumer compliance and CMS principles, including risk assessments, monitoring, testing, issue management, complaint management, training, and regulatory change management.
Lead Risk Assessor - Mississippi STRUCTION SOLUTIONSLead Risk Assessor - MississippiLucedale, MSStruction Solutions provides inspection, damage assessment, environmental, housing, disaster recovery, and construction-related services for federal, state, local government, and private-sector clients throughout the United States. Minimum three (3) years of experience conducting lead-based paint, environmental, housing, construction, or property inspections.
Risk Officer Hancock Whitney CorpRisk OfficerHancock Whitney Plaza - Gulfport, MSESSENTIAL DUTIES & RESPONSIBILITIES: Partner with senior and executive management to provide support and guidance on all operational risk programs and requirements; analyze opportunities for process improvement and recommend solutions; use risk-based analysis and experience in responding to inquiries of high risk and complexity; Consult on risk management principles for emerging risks, strategic projects and initiatives. Provide direct oversight of operational risk related matters for multiple operational risk lines of business/business units specifically related to risk & control self-assessments performance, significant operational risk events, operational losses, risk metrics (KPIs/KRIs), issues (audit, exam, compliance, and findings), and new activities.
Senior Trade Compliance Analyst - 1st Shift - Horn Lake, MS GXO Logistics IncSenior Trade Compliance Analyst - 1st Shift - Horn Lake, MSHorn Lake, MSWorking knowledge about United States economic sanctions regulations, with particular emphasis on the Office of Foreign Assets (OFAC) sanctions and general knowledge about U.S. Department of Commerce, Bureau of Industry Security (BIS) and U.S. State Department, Directorate of Defense Trade Controls (DDTC) export control regulations. Our greatest strength is our global team - energetic, innovative people of all experience levels and talents who make GXO a great place to work.
Operational Risk Analyst Fiserv IncOperational Risk AnalystMSA successful Operational Risk Analyst identifies, assesses, and mitigates risks arising from internal processes, systems, and external fraud events to prevent financial loss, reputational damage, and regulatory breaches. Work with cross-functional teams to facilitate financial transactions, embed a risk-aware culture, and provide training on best practices.
Downstream (Manufacturing) – Risk Based Inspection Engineer Chevron CorporationDownstream (Manufacturing) – Risk Based Inspection EngineerPascagoula, MS$104,700–$206,400 / yearChevron explores for, produces and transports crude oil and natural gas; refines, markets and distributes transportation fuels and lubricants; manufactures and sells petrochemicals and additives; generates power; and develops and deploys technologies that enhance business value in every aspect of the company's operations. + Special Considerations: Chevron has Manufacturing (Refineries) located in: Richmond, CA (greater San Francisco area), El Segundo, CA (greater Los Angeles area), Pasadena, TX (greater Houston area), Salt Lake City, UT, Pascagoula, MS (greater MS Gulf Coast area).
NewQuality - Regulatory Compliance Coordinator Delta Regional Medical CenterQuality - Regulatory Compliance CoordinatorGreenville, MSWill work closely with the compliance officer, leadership, clinical staff, legal counsel, and regulatory agencies to identify compliance risks and maintain regulatory readiness. 2 years of healthcare compliance, regulatory affairs, audit, risk management, or healthcare operations experience preferred.
Senior Auditor I/II Compliance Trustmark CorpSenior Auditor I/II ComplianceJackson, MSThe Senior Auditor Compliance is responsible for completion of high-quality walkthrough and testing throughout Trustmark, identifying, and understanding risks and controls associated with various business functions, executing testing to determine the design and effectiveness of controls in place, and drafting findings and reporting deliverables. The Compliance Audit team is responsible for providing independent and objective perspective on Trustmark's processes and risks through assessment and testing of the adequacy and effectiveness of risk management policies and practices, and adherence to applicable laws and regulations.