Regulatory & Compliance Counsel DUTIES: Work directly with the Associate General Counsel and the broader Compliance team to promote our overall regulatory compliance environment with respect to financial sector issues such as consumer protection, credit reporting, and fair lending. Continuously monitor laws and regulations that apply to the company's business and promote our compliance posture throughout the enterprise (including marketing, sales, partner management, complaint handling, litigation, collections, etc.). Evaluate impacts of emerging compliance regulations, communicate new requirements to the stakeholders, and assist in developing legal strategies to assist stakeholder's objectives. Inform and help operationalize compliance program basics, such as policies and procedures, control development, training programs, and change management. Produce clear and succinct written legal analysis and business communications and counsel and manage stakeholders, including senior management
QUALIFICATIONS: Must have a Juris Doctor degree (D.Jur) and membership in good standing with at least one US State Bar. Working knowledge of consumer finance laws and interest in developing additional expertise: FCRA, GLBA, ECOA, TILA/Reg Z, UDAAP, TCPA, CAN-SPAM, SCRA, FDCPA. Litigation, arbitration, complaint resolution, regulatory inquiry, or other dispute resolution experience. Ability to manage multiple projects and deadlines simultaneously
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