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Security Bank Corporation seeks a Compliance Officer to provide second-line defense for General Regulations Compliance. You will support compliance risk stewardship, advisory services, and regulatory dissemination across the bank, ensuring alignment with regulatory expectations and business objectives.
The role involves advisory work, breach remediation, governance liaison, and preparing monthly risk-focused reports for escalation to the department head and board.
As a Compliance Officer, you will be accountable for providing the second line of defense for the General Regulations Compliance area. The role supports the General Regulations Head and team in compliance risk stewardship activities, such as regulatory issuance and dissemination, as well as providing advisory services on assigned compliance areas.