NewBusiness Analyst BC ForwardBusiness AnalystMinneapolis, MNContractorThe ideal candidate will have strong experience in global HR business analysis and requirements leadership and a proven ability to facilitate workshops, document complex processes, and translate business needs into configuration-ready Workday requirements . Create and maintain business requirements documents, process maps, decision logs, traceability matrices, country delta logs, and test scenarios with acceptance criteria.
NewSr. Software Engineer - Ag Trading CargillSr. Software Engineer - Ag TradingWayzata, MN$115,000–$155,000COLLABORATION: Collaborates with traders, analysts, and other cross functional teams to gather requirements and deliver needed solutions, ensuring technical solutions aligned with business goals, participates in agile practices like standups and sprint planning for effective communication, shares knowledge through code reviews to drive learning and best practices, and explains technical concepts clearly to nontechnical team members. Through collaboration with cross-functional teams, the role enhances software capabilities, integrates advanced data and analytics, and delivers reliable digital products that help anticipate market impacts, identify opportunities, improve operational performance, and strengthen Cargill's competitive advantage across global agricultural markets.
Principal Risk Analyst: Privacy-Third-Party Risk Management Mayo ClinicPrincipal Risk Analyst: Privacy-Third-Party Risk ManagementRochester, MN$116,043.20–$168,292.80 / yearBachelor's degree and 7 years' experience in business analysis, compliance, privacy, insider threat, information security, human resources, risk management, information science, business administration, law enforcement, health or science-related fields OR Master's degree and 5 years' experience in business analysis, compliance, privacy, insider threat, information security, human resources, risk management, information science, business administration, law enforcement, health or science-related fields. Has extensive experience in regulatory compliance and investigations that includes: Deep subject matter expertise in relevant compliance laws and regulations such as privacy compliance, investigations, revenue cycle compliance, device manufacturing compliance, general compliance, conflict of interest; Understanding of and ability to apply the Seven Elements of an Effective Compliance Program; Ability to carry out audits, assessments and investigations; and.
Senior Financial Risk Analyst StaffWorthySenior Financial Risk AnalystMinneapolis, MinnesotaBachelors degree in a related field or equivalent experienceMinimum of four years of related work experiencePreferred QualificationsExperience in finance operations with a knowledge of financial risk management and related financial processesExperience with data analytics tools (Python, SQL, BI)Experience with SAP. Join the company's global team of 160,000 employees who use new technologies, dynamic insights and over 157 years of experience to connect farmers with markets, customers with ingredients, and people and animals with the food they need to thrive.
Risk Analyst (Subcontractor Prequalification) McGough Construction Co LLCRisk Analyst (Subcontractor Prequalification)Saint Paul, MNEmployee needs to be able to lift up to 20 pounds as frequently as needed to move objects; dexterity to write and manipulate computer keyboard and mouse; ability to hear and speak clearly; and ability to distinguish between colors on graphs and charts. Review and analyze all documentation submitted for subcontractor prequalification, including financial statements, safety records (OSHA 300A logs, EMR, etc.), certificates of insurance, bonding capacity letters, litigation history, and other relevant information to assess compliance with prequalification requirements.
Information Security Risk Analyst - Cyber Resiliency Deluxe CorpInformation Security Risk Analyst - Cyber ResiliencyMinneapolis, MN$120,000–$130,000 / yearReasonable Accommodation for Job Seekers with a Disability: If you require reasonable accommodation in completing this application, interviewing, completing any pre-employment testing, or otherwise participating in the employee selection process, please direct your inquiries to deluxecareers@deluxe.com. Strong aptitude for communicating complex ideas and updates to peers, supervisors, senior management, and stakeholders, negotiating successfully in high-stakes situations.
Sr. Cybersecurity Risk Analyst eTeam Inc.Sr. Cybersecurity Risk AnalystVirginia, VA$74.51–$76.92 / hourThe Senior Cybersecurity Risk Analyst examines technology and operational decisions for cyber risk that compliance-driven review alone does not surface, then frames that risk in business terms so GR&C and leaders can make informed accept, mitigate, or remediate decisions. Experience in U.S. Federal or Defense Industrial Base (DIB) environments, and familiarity from a risk perspective with CMClient, NIST SP 800-171/172, and DFARS, and with international frameworks such as UK Cyber Essentials, Australian Essential Eight, UK GDPR, and EU NIS2.
Senior GRC Risk Analyst Midcontinent Independent System Operator, Inc.Senior GRC Risk AnalystEagan, MN$105,000–$130,000 / yearDemonstrated strong strategic thinking and ownership by independently prioritizing work, addressing underlying problems, producing detail‑oriented deliverables, and understanding how daily actions align to broader organizational goals. Join MISO as a Senior GRC Risk Analyst, where you will play a key role in safeguarding the power grid by identifying, assessing, and mitigating cybersecurity risks.
Senior GRC Risk Analyst Midcontinent Independent System Operator IncSenior GRC Risk AnalystEagan, MN$105,000–$130,000 / yearDemonstrated strong strategic thinking and ownership by independently prioritizing work, addressing underlying problems, producing detail‑oriented deliverables, and understanding how daily actions align to broader organizational goals. Join MISO as a Senior GRC Risk Analyst, where you will play a key role in safeguarding the power grid by identifying, assessing, and mitigating cybersecurity risks.
Principal Analyst Clinical Risk Management Mayo ClinicPrincipal Analyst Clinical Risk ManagementRochester, MN$116,043.20–$168,292.80 / yearThe successful candidate demonstrates the ability to assess risk, build trusted relationships, navigate sensitive situations, facilitate difficult conversations, and support leaders and care teams through challenging events - developing practical solutions that balance patient-centered care with organizational priorities while strengthening organizational resilience. Bachelor's degree and 9 years' experience in business analysis, insider threat, information security, compliance, privacy, risk management, information science, business administration, health or science-related fields OR Master's degree and 6 years' experience in business analysis, insider threat, information security, compliance, privacy, risk management, information science, business administration, health or science-related fields.
Fraud Risk Analyst US BankFraud Risk AnalystMinneapolis, MN$105,400–$124,000 / yearBy translating complex analytical findings into executive-ready insights and cost-benefit assessments, the role informs strategic decision-making while balancing fraud risk reduction, customer experience, operational efficiency, and financial impact. The Fraud Risk Analyst develops data-driven insights and strategies that strengthen fraud prevention, detection, and operational performance across deposits, payments, digital, authentication, and the end-to-end account lifecycle.
Fraud Risk Analyst U.S. BancorpFraud Risk AnalystMinneapolis, MN$105,400–$124,000 / yearThe Fraud Risk Analyst develops data-driven insights and strategies that strengthen fraud prevention, detection, and operational performance across deposits, payments, digital, authentication, and the end-to-end account lifecycle. By translating complex analytical findings into executive-ready insights and cost-benefit assessments, the role informs strategic decision-making while balancing fraud risk reduction, customer experience, operational efficiency, and financial impact.
Principal Product Operations and Risk Analyst Circle Internet Financial LLCPrincipal Product Operations and Risk AnalystMinneapolis, MNRemote$185,000–$237,500 / yearThe role supports the overall Enterprise Risk Management (ERM) Program's goal of maintaining and growing Circle's resiliency by identifying, assessing, and preparing its operations for any internal and external factors and risks that could interfere with reaching its goals and objectives. Circle's platform includes the world's largest regulated stablecoin network anchored by USDC, Circle Payments Network for global money movement, and Arc, an enterprise-grade blockchain designed to become the Economic OS for the internet.
Information Security Risk Analyst 2 University of MinnesotaInformation Security Risk Analyst 2Minneapolis, MN$85,000–$95,000 / yearThe Information Security Risk Analyst will assess the information security posture of collegiate and administrative units by conducting information security risk assessments, including analyzing security controls and processes, interviewing subject matter experts, and helping to shape a risk-based approach to security across the entire University system. Located at the heart of one of the nations most vibrant, diverse metropolitan communities, students on the campuses in Minneapolis and St. Paul benefit from extensive partnerships with world-renowned health centers, international corporations, government agencies, and arts, nonprofit, and public service organizations.
NewCredit Risk Analyst U.S. BankCredit Risk AnalystMinneapolis, Minnesota$92,820–$109,200 / yearBasic Qualifications - Bachelor's degree, or equivalent work experience- Five to seven years of applicable experience- Applicable professional certifications Preferred Skills/Experience - Advanced understanding of the business line's operations, products/services, systems, and associated risks/controls- Advanced understanding of applicable laws, regulations, financial services, and regulatory trends that impact their assigned line of business- Basic knowledge of Business Risk competencies- Strong process facilitation and project management skills- Effective presentation and relationship building skills- Well-developed analytical skills- Effective oral and written communication skills- Possess business acumen and credibility to help business line(s) proactively identify and address changing workforce needs- Proficient computer navigation skills, particularly word processing, spreadsheet, databases, and presentations The role offers a hybrid/flexible schedule, which means there's an in-office expectation of 3 or more days per week and the flexibility to work outside the office location for the other days. The Business Risk Professional will partner with their assigned Line of Business, other Business Risk Professionals, and Business Risk Managers to, depending on their function, create, implement, maintain, review or oversee an effective risk management framework.
NewSenior Information Security Risk Management Analyst UnitedHealth Group IncSenior Information Security Risk Management AnalystEden Prairie, MN$91,700–$163,700 / yearThe fraudulent LinkedIn messages and emails, which do not originate from any Executives LinkedIn account or of UnitedHealth Group's email domains, or those of any of its operating divisions, supposedly conducts an interview via a Zoom meeting, offers a work from home job at Optum, emails an application, sends a fake check by next day delivery through USPS and asks recipients to pay a vendor a large dollar amount. Working collaboratively across business units, IT, and executive leadership, you will manage executive reporting, dashboards, and risk metrics while leveraging modern digital tools and automated workflows to accelerate execution and optimize operational efficiency.
Risk Mitigation Analyst Fox RothschildRisk Mitigation AnalystMinneapolis, MN$76,000–$91,750 / yearKnowledge, Skills, & Abilities: Working knowledge of public-records and investigative research databases and tools, such as Westlaw PeopleMap, LexisNexis Accurint, TLO, IDI Core, PACER and state court portals, Secretary of State and SEC filings, and sanctions/watchlist and news sources, or comparable equivalents. Conduct public-records research on individuals, companies, and related entities using public, commercial, and proprietary databases, including litigation, bankruptcy, lien, judgment, and UCC filing searches; real property records; corporate ownership and affiliate research; regulatory and disciplinary actions; sanctions and watchlist screening; and adverse media review, as appropriate to the assignment.
Principal Analyst, HR Technology Risk and Access Governance Boston Scientific CorpPrincipal Analyst, HR Technology Risk and Access GovernanceArden Hills, MNIdentify and remediate access risks, including excessive permissions, inherited access, incompatible role combinations, inactive or terminated users, shared accounts, insufficient business justification and gaps identified through audits, testing or control self-assessments. The Principal Analyst will partner with HR Operations, HR Technology, IT SOX, Cybersecurity, Identity and Access Management, Global Internal Audit, Privacy, Legal, Compliance and HR leadership to build effective access governance, role ownership, evidence and remediation processes across the employee lifecycle.
NewSenior Analyst, Operational Risk Royal Bank of CanadaSenior Analyst, Operational RiskMinneapolis, MinnesotaMaintaining a workplace where our employees feel supported to perform at their best, effectively collaborate, drive innovation, and grow professionally helps to bring our Purpose to life and create value for our clients and communities. In this role you will partner closely with a variety of partners across the business and lines of defense such as Compliance and Group Risk Management to ensure effective identification, documentation, and management of operational risks and control environments.
NewSenior Analyst, Risk Transformation Royal Bank of CanadaSenior Analyst, Risk TransformationMinneapolis, MN$70,000–$130,000 / yearThe Senior Analyst, Risk Transformation will partner closely with the Head, Risk Governance and Transformation to build out the WM-US Risk Transformation program, focusing on key pillars such as innovation, process optimization, analytics and reporting, and special projects and will manage work efforts across multiple projects and initiatives, working closely with a variety of executives, leaders, and business partners across RBC business lines and functional groups. The Senior Analyst, Risk Transformation is a newly created role with an exciting opportunity to play a critical role in developing the new WM-US Risk Transformation program and will directly identify, design, lead, and execute high impact and high visibility risk transformation projects and initiatives for WM-US.
Operational Risk Review (Orr) Lead Analyst US BankOperational Risk Review (Orr) Lead AnalystMinneapolis, MN$105,400–$124,000 / yearThis role supports the continued growth, enhancement, and delivery of IRRA's operational risk review program by coordinating complex review activities, leading issue validations, supporting strategic projects, and using data-informed analysis to strengthen ORR conclusions, reporting, and effective challenge. U.S. Bank is seeking an Operational Risk Review (ORR) Lead Analyst responsible for leading and executing review, issue validation, project, and data-focused activities within Independent Risk Review and Assessment (IRRA), a centralized second line of defense independent review function.
Operational Risk Review (ORR) Lead Analyst U.S. BankOperational Risk Review (ORR) Lead AnalystMinneapolis, MinnesotaThis role supports the continued growth, enhancement, and delivery of IRRA’s operational risk review program by coordinating complex review activities, leading issue validations, supporting strategic projects, and using data-informed analysis to strengthen ORR conclusions, reporting, and effective challenge. U.S. Bank is seeking an Operational Risk Review (ORR) Lead Analyst responsible for leading and executing review, issue validation, project, and data-focused activities within Independent Risk Review and Assessment (IRRA), a centralized second line of defense independent review function.
NewCredit Risk Analyst U.S. BancorpCredit Risk AnalystHopkins, MN$92,820–$109,200 / yearThe Business Risk Professional will partner with their assigned Line of Business, other Business Risk Professionals, and Business Risk Managers to, depending on their function, create, implement, maintain, review or oversee an effective risk management framework. In addition, certain positions may also be subject to the requirements of FINRA, NMLS registration, Reg Z, Reg G, OFAC, the NFA, the FCPA, the Bank Secrecy Act, the SAFE Act, and/or federal guidelines applicable to an agreement, such as those related to ethics, safety, or operational procedures.
Operational Risk Review (ORR) Lead Analyst U.S. BancorpOperational Risk Review (ORR) Lead AnalystMinneapolis, MN$105,400–$124,000 / yearThis role supports the continued growth, enhancement, and delivery of IRRA's operational risk review program by coordinating complex review activities, leading issue validations, supporting strategic projects, and using data-informed analysis to strengthen ORR conclusions, reporting, and effective challenge. U.S. Bank is seeking an Operational Risk Review (ORR) Lead Analyst responsible for leading and executing review, issue validation, project, and data-focused activities within Independent Risk Review and Assessment (IRRA), a centralized second line of defense independent review function.
NewSenior High Risk Bank Secrecy Act Analyst Park State BankSenior High Risk Bank Secrecy Act AnalystNot Specified, MNThe position provides guidance to BSA Analysts, and acts as the operational owner of the Bank's cannabis monitoring program, escalating significant risks, suspicious activity, regulatory concerns, and policy matters to the BSA Officer for oversight and decision-making. POSITION SUMMARY: The Senior High-Risk BSA Analyst serves as the day-to-day operational resource and subject matter expert for the Bank's cannabis banking program and other designated high-risk customer relationships.
Operational Risk Review (ORR) Analyst U.S. BankOperational Risk Review (ORR) AnalystMinneapolis, MinnesotaThis role supports the continued growth, enhancement, and delivery of IRRA’s operational risk review program by contributing to risk-based reviews, issue validations, strategic projects, and data-informed analysis across business lines and enabling functions. In addition, certain positions may also be subject to the requirements of FINRA, NMLS registration, Reg Z, Reg G, OFAC, the NFA, the FCPA, the Bank Secrecy Act, the SAFE Act, and/or federal guidelines applicable to an agreement, such as those related to ethics, safety, or operational procedures.
Operational Risk Review (Orr) Analyst US BankOperational Risk Review (Orr) AnalystMinneapolis, MN$92,820–$109,200 / yearThis role supports the continued growth, enhancement, and delivery of IRRA's operational risk review program by contributing to risk-based reviews, issue validations, strategic projects, and data-informed analysis across business lines and enabling functions. In addition, certain positions may also be subject to the requirements of FINRA, NMLS registration, Reg Z, Reg G, OFAC, the NFA, the FCPA, the Bank Secrecy Act, the SAFE Act, and/or federal guidelines applicable to an agreement, such as those related to ethics, safety, or operational procedures.
Operational Risk Review (ORR) Analyst U.S. BancorpOperational Risk Review (ORR) AnalystMinneapolis, MN$92,820–$109,200 / yearThis role supports the continued growth, enhancement, and delivery of IRRA's operational risk review program by contributing to risk-based reviews, issue validations, strategic projects, and data-informed analysis across business lines and enabling functions. In addition, certain positions may also be subject to the requirements of FINRA, NMLS registration, Reg Z, Reg G, OFAC, the NFA, the FCPA, the Bank Secrecy Act, the SAFE Act, and/or federal guidelines applicable to an agreement, such as those related to ethics, safety, or operational procedures.
Risk, Quality and Performance Analyst MaximusRisk, Quality and Performance AnalystDuluth, MNRemoteFull timeMaximus compensation is based on various factors including but not limited to job location, a candidate's education, training, experience, expected quality and quantity of work, required travel (if any), external market and internal value analysis including seniority and merit systems, as well as internal pay alignment. If you require assistance at any stage of the employment process-including accessing job postings, completing assessments, or participating in interviews,-please contact People Operations at applicantaccom@maximus.com .
NewRisk Management Intern M. A. Mortenson CoRisk Management InternMinneapolis, MNLearn how various risk management tools holistically protect construction projects from catastrophic loss (examples include: captive insurance, contract language, trade partner prequalification, probable maximum loss analysis, and Enterprise Risk Management). Highlights of your time with this Mortenson internship will include: Support Risk Analysts in evaluating project risk and insurance requirements, placing builders' risk insurance, surety bonds, subcontractor default insurance and other project-specific insurance requirements.
AVP Risk Employee Benefits Voya Financial IncAVP Risk Employee BenefitsMinnesota, MN$175,000–$195,000 / yearProfile Summary: The Assistant Vice President (AVP) of Operational Risk Management (ORM) reports to the Vice President & Head of ORM for Voya Financial (Voya), and is responsible for supporting Voyas strategy, framework and execution activities for managing operational risk; ensuring a proper process is in place to mitigate and prioritize risk remediation actions. Individual will manage and coach a team of dedicated operational risk analysts focusing on risk identification, assessment, measuring and monitoring activities such as risk advisory, risk event analysis, risk assessments, design and implementation of forward leaning metrics like KPIs, KRIs and other related risk measures.
NewEarly Careers: Corporate Risk & Broking Construction Internship - Fall 2026 Willis Towers Watson PLCEarly Careers: Corporate Risk & Broking Construction Internship - Fall 2026Minneapolis, MN$22–$28 / hourExperience and Skills: Prior internship or work experience in a professional setting that demonstrates strong analytical, technical, or client service capabilities (e.g., business analyst, risk management, financial services, or insurance internship experience preferred). The Professional & Pollution Liability Part-Time Internship offers hands-on experience across the full insurance renewal cycle-including exposure analysis, quoting, proposal development, binding, and policy issuance-while providing insight into the commercial insurance market, particularly within the construction and real estate sectors.
AI Governance Analyst BC ForwardAI Governance AnalystInver grove heights, MNJob Requirements: Job Title: AI Governance Analyst Location: Eagan MN Duration: Temp - 6 months Pay Range: Up to $100/hr Job ID: 372631 About BCforward BCforward is a leading global IT consulting and workforce solutions firm providing services and support to Fortune 500 and government clients. Job Title: AI Governance Analyst Location: Eagan MN Duration: Temp - 6 months Pay Range: Up to $100/hr Job ID: 372631 About BCforward BCforward is a leading global IT consulting and workforce solutions firm providing services and support to Fortune 500 and government clients.
Specialist, Risk and Compliance Services (Center of Excellence) Deloitte Touche Tohmatsu LtdSpecialist, Risk and Compliance Services (Center of Excellence)Minneapolis, MN$63,000–$116,000 / yearAs a Specialist, Risk and Compliance Services on the Conflicts Center of Excellence team, you will: Collaborate with Conflicts COE Managers and Senior Managers, Lead Client Service Partners, Deloitte Independence Directors, audit engagement teams, global Conflicts teams, and teams across Deloitte businesses to support auditor independence and identify potential conflicts of interest. The Conflicts CoE team performs a critical quality-assurance and risk-management function for the Deloitte U.S. firm, helping the organization remain unbiased and free from conflicts-of-interest, in fact and appearance, when providing services to attest/audit clients.
Middle Office Analyst GTTMiddle Office AnalystInver Grove heights, MNMiddle Office Analysts help mitigate market and financial risk exposure through trade interpretation and analysis while ensuring regulatory and financial compliance and supporting general ledger activity. The role also provides the front office with market data related to various securities and financial markets to support risk managers in maintaining adherence to risk management policies.
NewCredit Risk Director - Consumer Loss Forecasting Wells Fargo & CoCredit Risk Director - Consumer Loss ForecastingMinneapolis, MN$215,000–$355,000 / yearThey are accountable for execution of all applicable risk programs (Credit, Market, Financial Crimes, Operational, Regulatory Compliance), which includes effectively following and adhering to applicable Wells Fargo policies and procedures, appropriately fulfilling risk and compliance obligations, timely and effective escalation and remediation of issues, and making sound risk decisions. The Consumer Loss Forecasting function is responsible for the development, execution, governance, and delivery of loss forecasts used in key enterprise processes including CCAR, CECL/ACL, Loss Forecasting, stress testing, and other risk management activities.
Senior Business System Analyst - Remote or Hybrid Genesis10Senior Business System Analyst - Remote or HybridInver Grove Heights, MNRemote$75–$80 / hourTemporaryContractorFull timeThe ideal candidate will partner with Trading, Risk, Middle Office, and IT teams to translate business needs into clear requirements, support solution design, and ensure high-quality delivery across the full project lifecycle, while also providing ongoing application and integration support. Ranked a Top Staffing Firm in the U.S. by Staffing Industry Analysts for six consecutive years, Genesis10 puts thousands of consultants and employees to work across the United States every year in contract, contract-for-hire, and permanent placement roles.
Credit Analyst The Travelers CompaniesCredit AnalystTower, MN$99,100–$163,400 / yearEstablish and maintain effective working relationships with internal and external contacts - including investment community contacts, brokers, clients, billing and collections, and management - regarding credit risk, account documentation, and collateral issues. Within the Business Insurance Credit Risk Management team at Travelers, credit analysts play a critical role in managing the credit risk exposure created by loss sensitive insurance programs.
NewAnalyst RenaissanceReAnalystMinneapolis, MinnesotaWe’re experts in Property, Casualty, Specialty, and Credit reinsurance, consistently recognized for the innovative way we combine data, experience and technology to understand and manage large and complex risks across the world. We are an engaged member of the communities in which we live and work and have a locally-led giving philosophy with generous employee matching program, global and local community grants and employee volunteerism.
Cybersecurity Analyst - Hybrid in MN UnitedHealth GroupCybersecurity Analyst - Hybrid in MNEden Prairie, MN$72,800–$130,000 / yearThis role supports the Insider Risk Program by monitoring user activity, identifying anomalous or concerning behavior, conducting investigations, and partnering with cross‑functional stakeholders to mitigate risk while ensuring privacy, legal, and policy compliance. The analyst will leverage technical data sources, behavioral indicators, and investigative techniques to assess risk, support casework, and contribute to the continuous improvement of insider risk detection and response capabilities.
Insurance Product Analyst IV, State Product Management - Remote CSAA Insurance GroupInsurance Product Analyst IV, State Product Management - RemoteMinnesota, MNRemote$110,700–$123,000 / yearAlabama - Home Teleworkers, Alabama - Home Teleworkers, Arizona - Home Teleworkers, Arkansas - Home Teleworkers, Colorado - Home Teleworkers, Connecticut - Home Teleworkers, Delaware - Home Teleworker, District of Columbia - Home Teleworkers, Florida - Home Teleworkers, Georgia - Home Teleworkers, Idaho - Home Teleworkers, Illinois - Home Teleworkers, Indiana - Home Teleworkers, Iowa - Home Teleworkers, Kansas - Home Teleworker, Kentucky - Home Teleworkers, Louisiana - Home Teleworkers, Maine Home Teleworkers, Maryland - Home Teleworkers, Massachusetts - Home Teleworkers, Michigan - Home Teleworkers, Minnesota - Home Teleworkers, Mississippi - Home Teleworker, Missouri - Home Teleworker, Montana - Home Teleworkers {+ 21 more}. Working cross-functionally with partners across the organization, including Marketing, Actuarial, Finance, and others, to support the development, design, and implementation of new products, programs, and processes.
NewIrra Lead Analyst - Review Enablement US BankIrra Lead Analyst - Review EnablementMinneapolis, MN$98,175–$115,500 / yearThe Independent Risk Review and Assessment (IRRA) organization in Risk Management & Compliance (RM&C) serves as U.S. Bank's independent second line of defense, providing objective assessments of the effectiveness of the Bank's Risk Management framework across credit, compliance, and operational risks. In addition, certain positions may also be subject to the requirements of FINRA, NMLS registration, Reg Z, Reg G, OFAC, the NFA, the FCPA, the Bank Secrecy Act, the SAFE Act, and/or federal guidelines applicable to an agreement, such as those related to ethics, safety, or operational procedures.
NewSenior Compliance Analyst One Pass SolutionsSenior Compliance AnalystEden Praire, Minnesota5+ years of related work experience in healthcare compliance, regulatory affairs, auditing, risk management, or a related healthcare operational role, with demonstrated experience supporting compliance programs, audit support, investigations, training administration, regulatory oversight, and cross-functional compliance initiatives. This position has meaningful impact on the department’s productivity and risk management efforts through ownership of assigned areas within the Compliance Workplan, timely delivery of compliance support to business stakeholders, and proactive identification of process improvements and emerging compliance risks.
Compliance Quality Assurance Lead Testing Analyst - Fiduciary Oversight and Testing U.S. BankCompliance Quality Assurance Lead Testing Analyst - Fiduciary Oversight and TestingMinneapolis, MinnesotaKey roles and responsibilities include: (i) partnering with WCIB Business Units (BUs) and other Risk, Compliance, and Audit Professionals to help create, implement, maintain, review, and oversee an effective risk management framework, (ii) completing projects and/or activities that confirm compliance with fiduciary/trust requirements and applicable federal, state and local laws and regulations, (iii) identifying control and process weaknesses through testing activities, (iv) partnering with BUs and Risk Management groups to recommend and influence solutions to mitigate compliance risks, and (v) effectively communicating testing results to the Manager, including well written draft reports, and for responding to and/or escalating significant risks as appropriate. Experience supporting or overseeing fiduciary and investment-related businesses, including Personal Trust, Institutional Trust, Corporate Trust, Asset Management, Registered Investment Adviser (RIA), or Fund Services activities.
Compliance Quality Assurance Lead Testing Analyst - Fiduciary Oversight And Testing US BankCompliance Quality Assurance Lead Testing Analyst - Fiduciary Oversight And TestingMinneapolis, MN$105,400–$124,000 / yearKey roles and responsibilities include: (i) partnering with WCIB Business Units (BUs) and other Risk, Compliance, and Audit Professionals to help create, implement, maintain, review, and oversee an effective risk management framework, (ii) completing projects and/or activities that confirm compliance with fiduciary/trust requirements and applicable federal, state and local laws and regulations, (iii) identifying control and process weaknesses through testing activities, (iv) partnering with BUs and Risk Management groups to recommend and influence solutions to mitigate compliance risks, and (v) effectively communicating testing results to the Manager, including well written draft reports, and for responding to and/or escalating significant risks as appropriate. Experience supporting or overseeing fiduciary and investment-related businesses, including Personal Trust, Institutional Trust, Corporate Trust, Asset Management, Registered Investment Adviser (RIA), or Fund Services activities.
NewCompliance Analyst One Pass SolutionsCompliance AnalystEden Praire, Minnesota2 to 4 years of related work experience in healthcare compliance, regulatory affairs, auditing, risk management, or a related healthcare operational role, with demonstrated knowledge and experience supporting compliance programs, audit support, investigations, training administration, and regulatory oversight. Manage end-to-end compliance training distribution via One Pass’ learning management system, including assignment of trainings for newly hired/contracted workforce members and Board members, addressing technical questions about the training, and driving on time training completions.
NewIRRA Lead Analyst - Review Enablement U.S. BancorpIRRA Lead Analyst - Review EnablementMinneapolis, MN$98,175–$115,500 / yearThe Independent Risk Review and Assessment (IRRA) organization in Risk Management & Compliance (RM&C) serves as U.S. Bank's independent second line of defense, providing objective assessments of the effectiveness of the Bank's Risk Management framework across credit, compliance, and operational risks. In addition, certain positions may also be subject to the requirements of FINRA, NMLS registration, Reg Z, Reg G, OFAC, the NFA, the FCPA, the Bank Secrecy Act, the SAFE Act, and/or federal guidelines applicable to an agreement, such as those related to ethics, safety, or operational procedures.
Cybersecurity Analyst Graco IncCybersecurity AnalystMinneapolis, MNThe analyst will work closely with SOC, cloud, IAM, and engineering teams to improve detection fidelity, accelerate response, and reduce operational risk through automation and AI‑assisted security operations. This role will operate at the intersection of security operations, incident response, automation, and security data analytics, leveraging modern SIEM, SOAR, XDR, and MDR platforms.
NewSenior Fraud Strategy Analyst - Rules Engine & Decisioning Ascensus LLCSenior Fraud Strategy Analyst - Rules Engine & DecisioningMinneapolis, MN$100,000–$150,000 / yearStrong knowledge of fraud typologies and fraud risk management practices across a range of fraud types, including identity fraud, account takeover, social engineering, payment fraud, mule activity, first-party fraud, and organized fraud schemes. The Senior Fraud Strategy Analyst will have the chance to make an impact through both hands-on strategy execution and longer-term program development - helping improve fraud controls, optimize detection strategies, and build stronger fraud capabilities over time.
Compliance Quality Assurance Lead Testing Analyst - Fiduciary Oversight and Testing U.S. BancorpCompliance Quality Assurance Lead Testing Analyst - Fiduciary Oversight and TestingMinneapolis, MN$105,400–$124,000 / yearKey roles and responsibilities include: (i) partnering with WCIB Business Units (BUs) and other Risk, Compliance, and Audit Professionals to help create, implement, maintain, review, and oversee an effective risk management framework, (ii) completing projects and/or activities that confirm compliance with fiduciary/trust requirements and applicable federal, state and local laws and regulations, (iii) identifying control and process weaknesses through testing activities, (iv) partnering with BUs and Risk Management groups to recommend and influence solutions to mitigate compliance risks, and (v) effectively communicating testing results to the Manager, including well written draft reports, and for responding to and/or escalating significant risks as appropriate. Experience supporting or overseeing fiduciary and investment-related businesses, including Personal Trust, Institutional Trust, Corporate Trust, Asset Management, Registered Investment Adviser (RIA), or Fund Services activities.