Primary responsibilities include conducting comprehensive compliance testing across multiple business lines, developing and executing testing methodologies, identifying potential regulatory risks, and preparing detailed reports for senior management and regulatory bodies. The role involves systematic review of internal controls, validation of compliance processes, and collaboration with various departments to ensure adherence to regulatory requirements.
The candidate must possess extensive experience in compliance testing, with strong analytical skills, detailed understanding of financial regulations, and proven ability to design and implement quality assurance frameworks. A deep knowledge of regulatory standards, exceptional problem-solving capabilities, and expertise in risk assessment methodologies are essential for success in this role.
MUFG offers a competitive compensation package, opportunities for professional development, exposure to complex financial compliance challenges, and a dynamic work environment within a globally recognized financial institution. The role provides significant potential for career growth, learning, and making meaningful contributions to the organization's risk management strategy.