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Director, Regulatory Risk - Financial Services
CrossCountry ConsultingUnited Statesfull_timeVerifiedPosted 2 Apr 2025
💰 $356,000/yr($178,000/yr – $356,000/yr)
About the role
From the beginning, our goal was to establish an advisory firm that stands apart from the rest – one that is grounded in our Core Values and dedicated to creating a positive experience not just for our clients, but for our people too. We firmly believe in the strength of collaboration, enthusiasm, generosity, and perseverance as the driving forces behind our success. With advisory solutions spanning accounting and risk, technology-enabled transformation, and transactions, we partner with our clients to solve today’s challenges and deliver present and future value.
Our commitment to our people has earned us numerous awards including Inc5000's Fastest Growing Companies and Glassdoor's Best Places to Work. Explore what our employees have to say about our unique culture by clicking here.
CrossCountry Consulting is a trusted business advisory firm, specializing in Accounting Advisory, Business Transformation, Risk & Compliance, Cybersecurity, and Technology Solutions.
As a Director, you will serve as a member of our leadership team to create, develop, and build our presence in the Boston market. You will play a pivotal role in being responsible and guiding our clients to design and develop solutions related to the evolving regulatory compliance landscape within the Financial Services industry. The candidate must possess the experience and the ability to implement industry standards and best practices to assess, advise, design, and/or recommend complex, enterprise-wide, regulatory compliance, and/or risk management, policies and procedures, methodologies, toolkits, and templates.
Our commitment to our people has earned us numerous awards including Inc5000's Fastest Growing Companies and Glassdoor's Best Places to Work. Explore what our employees have to say about our unique culture by clicking here.
CrossCountry Consulting is a trusted business advisory firm, specializing in Accounting Advisory, Business Transformation, Risk & Compliance, Cybersecurity, and Technology Solutions.
As a Director, you will serve as a member of our leadership team to create, develop, and build our presence in the Boston market. You will play a pivotal role in being responsible and guiding our clients to design and develop solutions related to the evolving regulatory compliance landscape within the Financial Services industry. The candidate must possess the experience and the ability to implement industry standards and best practices to assess, advise, design, and/or recommend complex, enterprise-wide, regulatory compliance, and/or risk management, policies and procedures, methodologies, toolkits, and templates.
- Client Delivery (~45%)
- Lead a team of consultants responsible for developing, implementing, and monitoring regulatory compliance programs and designing and implementing policies, processes, and procedures in compliance with regulations
- Provide guidance and strategic planning to client business units on regulatory compliance controls
- Perform testing of business processes and outputs for compliance with applicable laws and regulations
- Responsibility for quality control of client work product
- Contribute to add-on/cross sell revenue generation with existing clients and develop business with new clients
- Strong knowledge of some or all of the following regulatory reports and regulatory metrics:
- · FDIC Call/FR Y-9C/FR Y-9LP
- · FR Y-14A, FR Y-M, FR Y-Q
- · 2052A/FINRA Weekly Liquidity Reporting
- · LCR/NSFR
- · Risk-Based Capital and Leverage Ratios
- · Analytics to detect potential compliance breaches and advise compliance management of issues
- · Dodd Frank Act or components thereof (e.g. Volcker Rule)
- Practice Leadership (~10%)
- As a leader in the Risk Advisory practice supporting the Boston market, including assisting in setting the growth strategy in line with CrossCountry���s Core Values and other operational areas:
- Account management: oversee client engagements, maintain strong relationships with senior client personnel, and have a solid understanding of clients’ business
- Coaching and Development: provide coaching and training opportunities for team members leveraging individual skills and the firm’s people first culture.
- Recruiting and Retention: take an active role in attracting, interviewing, hiring and retaining top talent
- Thought leadership: share expertise in technical domain(s) with team members and clients, including case studies, white papers, learning materials, and other resources
- Serve as a key leader in our Risk Advisory practice by guiding and directing strategic firm initiatives around ERM and Regulatory operations, process and technology capabilities
- Business Development (~45%)
- Actively pursue business development opportunities and market a full range of risk and compliance services to prospective clients including using existing relationships to generate new opportunities
- Foster culture of growth and a business development mindset and act as a thought leader in the market
- Sales, Delivery, Solution Development and Practice Leadership across the following focus areas:
- Regulatory reporting transformation including Federal Reserve, FDIC and OCC
- Remediation of regulatory risk matters encompassing liquidity, interest rate, credit and operational risks
- Design and implementation of financial and operational risk platforms
- Capital markets and trading operations and reporting
- Operating model assessment and design and Risk Management Framework assessment and design
What you'll bring:
- 12+ years of applicable consulting and delivery around Regulatory Reform projects, specifically as i
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