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Melinda Burrows
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Energy Service Company
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Asst General Counsel and Head of Compliance
Refer job# XWNR150463
 
Asst General Counsel and Head of Compliance The candidate will be responsible for: Plans, designs, implements, and manages the organization's formal, written compliance program, which includes board oversight, policies and procedures, regulatory change management, a formal training program, transaction testing and monitoring, prompt handling of consumer complaints, vendor management and monitoring of the program. Provides guidance on risks resulting from violations of legal, regulatory, or contractual obligations and conformance with the organization's policies and procedures involving legal and compliance matters. Works closely with the board of directors, ELT, the enterprise risk management committee, the enterprise risk management team and the internal audit team to develop an effective and aligned compliance program. Defines compliance risk data and implements a data-driven strategy for managing legal and compliance risk. Responsible for, and regularly reports to the board of directors on the effectiveness of the organization's regulatory compliance program. Oversees the creation and administration of the organization's vendor management program. Manages the development and maintenance of the organization's policy manual. Serves as primary legal counsel to the organization's Rural Living Solutions division and to other business units on regulatory compliance matters. Maintains significant subject-matter expertise in the law of consumer lending, including the Truth in Lending Act, RESPA, and Regulation Z; the Home Mortgage Disclosure Act and Regulation C; Fair Credit Reporting Act and Regulation V; the Equal Credit Opportunity Act and Regulation B; SAFE Act; UDAAP; federal laws and regulations affecting correspondent lending and mortgage loan brokering; and regulatory compliance management. Monitors, researches, analyzes and provides advice on existing and proposed industry trends, regulatory compliance, new laws and policies and their impact on the organization. Drafts legal opinions on complex areas of law pertinent to the organization. Negotiates, drafts and interprets contracts and other legal documents between the organization and third parties, concerning loans, leases, insurance and other related matters in compliance with legal, regulatory and organizational policies. Communicates business expectations and goals to team and is responsible for compliance team's results. Aids in establishing and developing guidelines to ensure the team provides a consistent quality level of service, which is timely, thorough and responsive to all internal clients. Selects, develops, motivates, coaches, evaluates, trains and rewards team members.

The candidate must have Bachelor's degree and a JD from an American Bar Association accredited law school. Should have ability to obtain a professional license to practice law in Minnesota, Wisconsin or Illinois. Should have 10+ years of experience in a law firm or corporate law department, providing legal advice to a bank or non-bank lender. Consumer financial services experience strongly preferred. Should preferably have 3-5 years of leadership experience. Must have knowledge of federal, state and local laws and regulations affecting legal and compliance issues within the financial industry and relevant to ***. Experience in the following areas is preferred: Truth in Leding Act, RESPA, and Regulation Z; Home Mortgage Disclosure Act and Regulation C; Fair Credit Reporting Act and Regulation V; Equal Credit Opportunity Act and Regulation B; SAFE Act; UDAAP. Federal laws and regulations affecting correpsondent lending and mortgage loan brokering. Regulatory compliance management.
 
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