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 Senior Consultant - Corporate Compliance Practice

Details
Country: USA
Location: New York NY
Total applied: 40
Location:US-NY-New York

Base Pay:N/A

Commission:
$0.00Employee Type:Full-Time Employee

Industry:Other Great Industries

Manages Others:no
Senior Consultant - Corporate Compliance Practice

Navigant Consulting, Inc. (NYSE: NCI) is an international consulting firm combining deep industry expertise and integrated solutions to assist companies and their legal counsel in enhancing stakeholder value, improving operations, and addressing the challenges of uncertainty, risk and significant business model change. Professional services include dispute, investigation, operational and business advisory, risk management and regulatory advisory, and transaction advisory solutions. The Company focuses on industries undergoing substantial regulatory or structural change, including financial services, insurance, healthcare and energy.The Company has more than 1,700 professional consultants and more than 2,500 total employees, with headquarters in Chicago and a geographic presence in 41 cities - including recent international expansions in London, Canada, China, and the Czech Republic. Navigant Consulting has recently been recognized by Forbes as one of the ?200 Best Small Companies? (2005) and by Fortune as one of the ?100 Fastest Growing Companies? (2005).Navigant Consulting, Inc. has an opening for a Senior Consultant in the Corporate Compliance practice.
Our Corporate Compliance professionals are part of a dedicated team of advisors who understand the complexities and challenges facing financial institutions trying to meet Federal regulation requirements. Composed of industry professionals with extensive experience across a multitude of sectors within the Financial Services industry, our Corporate Compliance team is ideally situated to help financial institutions adapt and thrive to a constantly evolving regulatory environment.We are looking for an energetic and motivated individual who will perform compliance, operational risk and business process evaluations on a diverse range of financial institutions. This individual will interact with company and client management, assist in the assessment of core business functions, help develop and execute test plans and assist in the generation of client reporting.Essential Duties and Responsibilities:
Project work in a variety of engagements across the Financial Services industry
Conduct service provider due diligence reviews with clients.
Identify an organization's core business functions, map/enhance key business processes and identify operational risks and opportunities to enhance the control environment.
Conduct Regulatory Compliance Policy and Procedure Gap Analysis including determining the applicability of Federal securities law based on the composition of the organization.
Research and analyze industry trends.
Prepare client deliverables including client reporting, management tools and PowerPoint presentations.
Assist with quality control of work products.Skills and Requirements:
3+ years of experience in the Financial Services industry.
Demonstrated strong oral and written communication skills.
Ability to interact with clients in a client setting.
Willingness to travel extensively.
Ability to work independently and in a team setting.
Demonstrated ability to understand key business functions across the financial industry.
Familiarity with Federal Compliance regulations (SEC & NASD).
Possess intermediate or above average research skills.
Ability to balance multiple engagements with varying deadlines.
Ability to meet deadlines while maintaining a strong attention to detail.
Proficiency in Microsoft Office Suite.
Undergraduate degree required, emphasis in Economics, Finance or Accounting preferred.The company offers competitive compensation packages including an incentive compensation plan, comprehensive medical/dental/life insurance, 401(k) and employee stock purchase plans.EOE M/F/D/V
REQUIREMENTS
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