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Quality Assurance Consultant
Category: Banking, Insurance
  • Your pay will be discussed at your interview

Job code: lhw-e0-90672235

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U.S. Bank

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  Job posted:   Thu Jun 7, 2018
  Distance to work:   ? miles
  10 Views, 0 Applications  
Quality Assurance Consultant

The Wealth Management & Investment Services - Trust Technology & Support Services (TT&SS) - Chief Risk Office (CRO) has an opening for a Quality Assurance Consultant. Incumbent will assist the TT&SS-CRO Risk Manager in coordinating the Quality Assurance (QA) discipline across the Trust Technology & Support Services business unit. This position will build effective partnerships with assigned business units and other Risk/Compliance/Audit (RCA) Consultants including individuals in the Second Line of Defense.

The U.S. Bank risk management structure is designed to promote effective governance and risk management that is systematic, transparent, credible, timely, and verifiable through clear delineation and execution of key roles and responsibilities. Its goal is to manage risks that may impact the company, including, financial, operational, reputational, strategic, and other risks as appropriate.

+ The Quality Assurance Consultant performs quality assurance testing and reporting focused primarily on design and operational effectiveness of inherent risks across Trust Technology & Support Services.

+ Independently and objectively assess the performance of key processes and controls via a risk based testing approach in accordance with Bank policy.

+ Review testing results and provides feedback around improving control processes

+ Create aggregate TT&SS QA reporting, including trends and opportunities

+ Ensure appropriate procedures, templates & other monitoring tools across TT&SS in support of an effective Quality Assurance Program.

+ Demonstrate ability to identify process and/or control weaknesses and improvement opportunities.

+ Influence: Displays diplomacy with assertiveness and elicits and responds in a timely manner to concerns and objections


**Basic Qualifications**

+ Bachelor's degree or equivalent work experience

+ 3-5 years of work experience with 2 years of risk management, compliance, or audit experience required.

+ Applicable professional certifications

**Preferred Skills**

+ Intermediate experience with operational risk and control assessments

+ Demonstrated ability to appropriately influence in a collaborative environment

+ Ability to manage multiple tasks and deadlines simultaneously

+ Prior Internal Audit experience is preferred

+ Internal Audit Best Practices

+ Intermediate experience with risk assessments, control analysis, and project management, including process improvement

+ Strong analytic, logical reasoning, and problem solving, risk vs. reward skills and thorough understanding of operational risk

+ Ability to learn quickly and understand U.S. Bank's enterprise governance risk and compliance programs

+ Solid critical thinker with the ability to challenge when risks are present, investigative in nature

+ Strong interpersonal skills including strong oral and written communication skills

+ Strong PC literacy in word processing, spreadsheets, databases, process flows, and presentations

**Job:** Risk/Compliance/QC/Audit/Fraud

**Primary Location:** Minnesota-MN-Saint Paul

**Shift:** 1st - Daytime

**Average Hours Per Week:** 40

**Requisition ID:** 180020664

**Other Locations:** Wisconsin-WI-Milwaukee

U.S. Bank is an Equal Opportunity Employer committed to creating a diverse workforce.
U.S. Bank is an equal opportunity employer committed to creating a diverse workforce. We consider all qualified applicants without regard to race, religion, color, sex, national origin, age, sexual orientation, gender identity, disability or veteran status, among other factors.

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