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Chief Risk Officer

Job in South Salt Lake, Salt Lake County, Utah, USA
Listing for: Pitney Bowes
Full Time position
Listed on 2026-03-11
Job specializations:
  • Finance & Banking
    Risk Manager/Analyst, Financial Compliance
  • Management
    Risk Manager/Analyst
Salary/Wage Range or Industry Benchmark: 150000 - 200000 USD Yearly USD 150000.00 200000.00 YEAR
Job Description & How to Apply Below

At Pitney Bowes, we do the right thing, the right way. As a member of our team, you can too.

We have amazing people who are the driving force, the inspiration and foundation of our company. Our thriving culture can be broken down into four components:
Client. Team. Win. Innovate.

We actively look for prospects who:

  • Are passionate about client success.
  • Enjoy collaborating with others.
  • Strive to exceed expectations.
  • Move boldly in the quest for superior and best in market solutions.
Job Description:

About Pitney Bowes Bank

For more than 100 years, Pitney Bowes has grown alongside small and large businesses, evolving our products and services to meet their changing needs. Pitney Bowes Bank plays a critical role in this mission by providing payment solutions, working capital financing, equipment lending and leasing, and structured financing solutions. As an FDIC‑insured institution, the Bank is positioned to help our customers run and scale smartly.

You

Are

A seasoned, strategic risk and compliance executive who thrives in a fast‑paced, collaborative environment and is driven to make meaningful impact. You bring deep expertise in enterprise risk, compliance, internal controls, and regulatory engagement. You excel at building strong governance structures, influencing senior leaders, and ensuring the Bank operates safely, soundly, and in full compliance with applicable laws and regulatory standards.

As the Chief Risk Officer
, you will work across the Bank and Pitney Bowes leadership to identify, assess, and mitigate risks that impact the Bank’s safety and soundness. You will serve as the primary liaison with State and Federal regulators, lead regulatory exams, oversee mitigation of findings, and report directly to the PB Bank CEO and President as a member of the Bank Leadership Team.

You

Will Leadership & Strategy
  • Partner with executive management to drive, influence, and collaborate on business objectives, risk strategy, and overall company goals.
  • Develop foresight capabilities by monitoring industry trends, regulatory developments, and emerging risks, providing insight to leadership.
Regulatory Compliance
  • Establish the Bank’s Compliance and AML Programs to ensure adherence to all applicable regulatory requirements and standards.
  • Respond to regulatory inquiries, audits, and enforcement actions, and brief leadership and the Board on emerging regulatory developments and their impact.
Risk Management Framework
  • Define and execute the Bank’s Risk Management Framework, including risk identification, assessment, management, monitoring, and reporting.
  • Evaluate, document, and analyze current‑state risk management capabilities and recommend enhancements.
  • Interact with regulatory bodies and internal/external audit on matters related to the risk management framework and internal controls.
Risk Assessment
  • Develop and articulate a dynamic, forward‑looking risk assessment of borrowers, transactions, competitive threats, and industry factors.
  • Ensure a system‑wide view of interconnected risks, including interest rate, liquidity, operational, credit, reputational, and regulatory risk.
Governance, Reporting & Oversight
  • Lead the development and maturity of an effective governance structure, including committee charters, content structure, and meeting cadence.
  • Ensure risk management policies and strategies comply with regulatory standards and organizational imperatives.
  • Compile, assess, and report risk information to the Bank Risk Management Committee, Bank Board, and other key stakeholders.
Program & Process Development
  • Establish comprehensive enterprise and operational risk management processes and reporting for senior leadership.
  • Partner with functional leaders to ensure processes, risks, and controls support regulatory compliance and strong risk management.
  • Lead the continued development of the Internal Controls Program, including:
    • Risk identification and inventory, control design and effectiveness, monitoring, and adherence testing.
    • Issue and risk prioritization and tracking (self‑identified, audit, regulatory).
    • Risk mitigation planning, investments, and risk advisory, including risk acceptance criteria and approvals.
    • Incident management…
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