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Vendor Auditor II
Summary
Title:Vendor Auditor II
ID:1838
Department:Legal Services
Location:Greenville, SC
Description

Summary:

The Vendor Auditor II is responsible for taking ownership of Shellpoint’s Vendor Oversight program. The Vendor Auditor II will be expected to perform audits, serve as subject matter expert of Shellpoint’s third party risk management program, and work as a liaison between the business, Compliance, and Legal. This role will work within Vendor Oversight to identify improvements in service and quality, efficiencies, and process controls.

 

Responsibilities:

  • Perform all aspects of audits without supervision, from initiation to final report in an efficient, timely, and professional manner

  • Open, manage, and facilitate remediation plans with vendors as required, to ensure timely closure of action plans

  • Lead communications with business unit managers to document non-legal vendor performance tracking and create non-legal vendor performance tracking as needed

  • Create and update databases and spreadsheets designed to maintain detailed audit records

  • Lead and supervise multiple audit-related projects concurrently

  • Review and assess other audit team members’ work for completeness and provide feedback/comments to other team members

  • Act as subject matter expert for internal and external contacts

  • Perform periodic management information and trend analysis reporting to Counsel

  • Identify, escalate, and make recommendations for improvement or to mitigate risk

  • Demonstrate understanding of various departments within Shellpoint and Vendor Management’s function within the company

  • Research, read, and analyze State and Federal laws, regulations, policies, and procedures related to third party risk management of mortgage servicers

  • Performs other related duties and fulfills responsibilities as assigned and required

Qualifications/Skills:

  • Ability to take ownership of the vendor management process and deliver results

  • Ability to prioritize tasks and work independently with minimal supervision or guidance

  • High level of accuracy and attention to detail

  • Ability to employ intuition to identify process gaps and trends

  • Experience managing third party risk within Consumer Financial Protection Bureau guidelines

  • Ability to work in a fast-paced environment, meeting strict deadlines with minimum errors

  • Solid knowledge of the consumer regulatory laws - FDCPA, TCPA, GLBA, FCRA, FACTA, and other state and federal regulations required

  • Proficient with Intermediate knowledge of Microsoft Office (Access, Excel, Word, etc.)

Educational Requirements:

  • Bachelor’s degree in a discipline related to the requirements of the position

  • Graduate course work in a discipline related to the requirements of the position is preferred

  • Minimum of 1+ years of industry and/or audit experience

  • Prior experience managing a staff of 3 or more individuals is preferred

This opening is closed and is no longer accepting applications
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