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Regulatory Intelligence Analyst in Cleveland, OH at KeyBank

Date Posted: 1/29/2021

Job Snapshot

  • Employee Type:
  • Location:
    127 Public Square
    Cleveland, OH
  • Date Posted:

Job Description


This position is in the Regulatory Intelligence Compliance Team within Compliance Risk
Management. The position is responsible for identifying, summarizing, and consulting on
current and emerging legal and regulatory compliance requirements as they relate to all products,
services, business processes, and lines of business across Key. The position will also be
responsible for assisting in the development of project plans for regulatory changes. The
qualified candidate must be able to work independently, meet deadlines in a short time-frame,
multitask, and use sound judgment taking into consideration compliance risk tolerances of

  • Identify new or modified rules, regulations, and laws applicable to the financial services industry.
  • Collaborate with Subject Matter Expert(s) in providing research and analysis of new or modified regulatory requirements.
  • Track regulatory changes and analysis in the Governance, Risk and Compliance system.
  • Engage with risk partners to ensure required remediation measures are appropriately implemented.
  • Provide sound judgment and decision-making in analyzing and escalating.
  • Assist with maintaining internal policies and procedures including updating and drafting training and policy materials as needed, and supporting and leading various ad hoc projects.
  • Effectively partner and establish trusted relationships with risk partners, senior level management, the law group, and others regarding corporate-wide compliance issues.

  • Bachelor’s degree in business, finance, legal or related field.
  • 1-5 years of professional experience researching and analyzing statutory and regulatory requirements.
  • Strong research, analytical and problem solving skills.
  • Excellent organizational and time-management abilities.
  • Strong attention to detail and accuracy. • Well-developed relationship building skills.
  • Ability to comprehend compliance laws and regulations
  • High ethical standard and ability to maintain confidentiality.
  • Strong problem solving and analytical skills.
  • Demonstrated business organizational savvy (e. g., organizations structures, formal management channels, working with informal organizational networks).

  • Juris Doctorate and/or CRCM preferred.
  • 1-5 year(s) prior experience as financial services attorney, compliance professional, bank regulator or other comparable legal experience. Experience identifying and summarizing regulatory changes with respect to the financial services industry preferred.
  • Project management experience.


KeyCorp is an Equal Opportunity and Affirmative Action Employer committed to engaging a diverse workforce and sustaining an inclusive culture. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, disability, or veteran status.


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