General information
Entity
About Crédit Agricole Corporate and Investment Bank (Crédit Agricole CIB)
Crédit Agricole CIB is the corporate and investment banking arm of Crédit Agricole Group, the 10th largest banking group worldwide in terms of balance sheet size (The Banker, July 2022).
8,600 employees in more than 30 countries across Europe, the Americas, Asia-Pacific, the Middle-East and North Africa, support the Bank's clients, meeting their financial needs throughout the world.
Crédit Agricole CIB offers its large corporate and institutional clients a range of products and services in capital market activities, investment banking, structured finance, commercial banking and international trade.
The Bank is a pioneer in the area of climate finance, and is currently a market leader in this segment with a complete offer for all its clients.
By working every day in the interest of society, we are a Group committed to diversity and inclusion and place people at the heart of all our transformations. All our job offersare open to persons with disabilities.
For more information, please visit www.ca-cib.com
Twitter: https://twitter.com/ca_cib
LinkedIn: https://www.linkedin.com/company/credit-agricole-cib/
By working every day in the interest of society, we are a group committed to diversity and inclusion. All our positions are open to people with disabilities.
Reference
2025-101068
Update date
10/06/2025
Job description
Business type
Types of Jobs - Compliance / Financial Security
Job title
Compliance Testing and Monitoring Officer
Contract type
Permanent Contract
Expected start date
15/07/2025
Job summary
Summary:
Under supervision of the Head of Compliance Testing and Monitoring, as part of the Credit Agricole CIB Americas compliance function, responsible for executing testing reviews and monitoring activities and contributing to the continuous enhancements to the bank’s Compliance Testing and Monitoring program.
Key Responsibilities:
General
- Plan and execute assigned compliance testing reviews of the various Banking business units / processes within the Organization, as part of the Annual Compliance Testing Plan.
- Document testing work papers with sufficient details in accordance with the standards set out in the internal policy/procedures and that a third-party can reasonably understand the testing performed and the conclusion of the testing
- Identify issues through testing and ensure thoroughly analysing the root causes and developing appropriate action plans to address the issues and root causes
- Present review findings, confirm factual accuracy, and propose recommendations to relevant Department Management
- Draft the testing review reports to document and formally communicate testing results to stakeholders which may include the Chief Compliance Officer, the Executive Committee and Senior Management
- Track and monitor issues identified from the assigned compliance testing reviews to ensure the action plans are completed by action owns by the due date
- Perform validation of action closure and prepare the action plan validation memo for Testing Unit Manager’s review and approval
- Carry out and document compliance monitoring activities, as planned / scheduled in the Annual Compliance Monitoring Plan.
Other
- Provide regular status updates on assignments and escalate any potential delays / issues to the Head of Compliance Testing and Monitoring
- Contribute to the development of the Annual Testing Plan, Annual Monitoring Plan, and regular updates to the team’s procedures
- Contribute to address requests / questions from Regulatory Exams and Internal Audit reviews covering Compliance Testing and Monitoring
- Other tasks that may be assigned by the Head of Compliance Testing and Monitoring
Management and Reporting: The position reports directly to CACIB US Head of Compliance Testing and Monitoring.
Key Internal Contacts:
- Within the Compliance Division: CACIB US Compliance management and team leads
- Outside the Compliance Division, regular interactions with Business Lines and Support Functions (Legal, Finance, Audit..) and ad-hoc interactions with CUSO and Group stakeholders
Salary Range: $120k-160k
#LI-DNI
Supplementary Information
SPECIAL ROLE REQUIREMENTS:
- At least 7 year experience in financial services industry with focus on compliance
- 5 year Audit or Compliance Testing experience required, with focus on capital market
- Good knowledge of risks and controls (analyzing risks, identifying and documenting controls, assessing control design and operating effectiveness)
- Strong knowledge of areas such as capital markets, debt capital markets, investment banking, corporate banking coverage, broker-dealer/swap dealer regulatory framework (SEC, FINRA, NFA, CFTC)
- General knowledge of other banking products/services and regulations preferred:
- Banking regulations
- Business Conducts (Anti-Bribery & Corruption, Whistleblowing, Conflicts of Interest, Conduct Risks, Fraud risks etc.)
- Financial Crime (AML, Sanctions/OFAC)
- Other regulations (privacy, tax compliance, cybersecurity etc.)
- Ability to manage multiple projects using technology and analytic techniques (advanced in excel) to work effectively and efficiently in a fast-paced environment.
- Strong attention to details and analytical skills
- Ability to work with minimum supervisions and prioritize multiple tasks to focus on meeting the expected timelines
- Good communication skills to be able to present clearly and concisely to all levels of stakeholders
- Ability to engage with stakeholders and build rapport and partnership with stakeholders
- Project management experience preferred
- • Professional designations in auditing ((e.g., CPA, CISA) preferred
Position location
Geographical area
America, United States Of America
City
NEW YORK
Candidate criteria
Minimal education level
Bachelor Degree / BSc Degree or equivalent
Academic qualification / Speciality
Education Essential: College Degree
Level of minimal experience
6-10 years
Experience
Experience Essential:
- At least 7 year experience in the financial services industry with a focus on compliance
- 5 year Audit or Compliance Testing experience required, with a focus on capital market
Experience Desirable:
- Experience working in capital market regulators preferred
Required skills
Competencies Essential:
- Ability to manage multiple projects using technology and analytic techniques (advanced in excel) to work effectively and efficiently in a fast-paced environment.
- Strong attention to details and analytical skills
- Ability to work with minimum supervisions and prioritize multiple tasks to focus on meeting the expected timelines
- Good communication skills to be able to present clearly and concisely to all levels of stakeholders and ability to build rapport and partnership with stakeholders
Skills & Knowledge Essential:
- Good knowledge of risks and controls, including analyzing risks, identifying and documenting controls, and assessing control design and operating effectiveness
- Strong knowledge of areas such as capital markets, debt capital markets, investment banking, and corporate banking coverage as well as broker-dealer / swap dealer regulatory framework such as SEC, FINRA, NFA, CFTC rules
Skills & Knowledge Preferred:
- General knowledge of one or more of other banking products/services and regulations preferred:
- FRB / NYS DFS regulations
- Business Conducts (Anti-Bribery & Corruption, Whistleblowing, Conflicts of Interest, Conduct Risks, Fraud risks etc.)
- Financial Crime (AML, Sanctions/OFAC)
- Other regulations (privacy, tax, compliance, cybersecurity, etc.)
Languages
Proficiency in English (both written and verbal)