Compliance Officer

Community State Bank (WI)

Union Grove (WI)

On-site

USD 110,000 - 140,000

Full time

2 hours ago
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Job summary

Community State Bank (WI) seeks a Compliance Officer to lead and maintain the bank’s compliance programs, ensuring alignment with regulatory expectations and industry best practices. You will develop staff training, monitor enterprise risks, and coordinate audits and regulatory exams across departments.

Ideal candidates bring 5+ years in banking compliance, strong knowledge of BSA/AML and OFAC, and excellent communication and collaboration skills to support governance and risk management.

Qualifications

  • Bachelor’s degree in related field or equivalent work experience.
  • CRCM, CAMS, or similar certification preferred; ongoing education required.

Responsibilities

  • Lead and enhance bank compliance programs to align with federal and state expectations.
  • Develop and maintain required compliance training and staff education.
  • Assist in assessing and monitoring compliance and enterprise risks.
  • Support management of policies, procedures, and testing including CRA and HMDA.
  • Collaborate with other departments for audits, exams, and regulatory requests.
  • Maintain CRA plan updates and monitor CRA/HMDA data integrity for filings.
  • Prepare reports for the Board of Directors and support the Audit Compliance Committee.
  • Contribute to bank-wide process improvements and efficiency gains.

Skills

Regulatory Compliance
BSA/AML Knowledge
Communication Skills
MS Office Proficiency
Attention to Detail
Interpersonal Skills

Education

Bachelor’s Degree in related field
CRCM/CAMS certification preferred

Tools

MS Office Suite

Job description

Are you passionate about serving your community and helping your neighbors? Are you talented, creative or hard-working? All of the above? Do you want to work in a fun and rewarding environment? As a member of the CSB team, not only will you experience our supportive work culture, but you will also receive the opportunities, tools and encouragement critical for professional growth.

At Community State Bank, we are more than just a bank, we focus on building strong successful partnerships based on respect and trust. Our goal is providing opportunity to our customers, employees, and the communities we serve. We are currently hiring for a Compliance Officer.

Purpose: To manage the Bank’s compliance programs, including policies, procedures, systems monitoring, technology-based controls, and training, as well as compliance monitoring and testing.

Essential Duties and Responsibilities: The following duties are normal for this position. These are not to be construed as exclusive or all-inclusive. Other duties may be required and assigned.

  • Provide effective leadership in enhancing and sustaining the compliance programs to ensure they are commensurate with equivalent sized bank programs and practices and in line with the expectations of federal and state regulatory authorities.
  • To develop and maintain required compliance training, training related to staff development, and other ongoing training/education as assigned.
  • Assist in assessment and monitoring the compliance and enterprise risks associated with the Bank’s business activities, operations, and products and services.
  • Assist in managing the Bank’s compliance and risk assessment programs, including policies and procedures, training and testing. Such as Flood, CRA, HMDA, Fair Lending, and ID Theft.
  • Assist, review, and collaborate with other bank departments to gather information in preparation for audits and exams. Review responses for regulatory exams, audits, investigations, and other information requests.
  • Ongoing development and updates to CRA plan and monitoring compliance with the plan.
  • Coordinate bank wide compliance with CRA/HMDA. Effectively interact with other departments to develop automated processes for the accurate and efficient gathering and scrubbing of HMDA and CRA data that would sustain loan growth. Responsible for ensuring the data and integrity of CRA and HMDA data for regulatory filing, including but not limited to scrubbing sample loan files and/or setting up tools for validity and edit checks.
  • Prepare reports and information for the Board of Directors as needed.
  • Act as an integral part of the audit compliance committee.
  • Participate in various committees and provide compliance support as needed.
  • Assist in special projects as assigned including but not limited to optimizing efficiency with bank procedures and systems (i.e. account opening, Universal Banker procedures).

Qualification Requirements: To perform this job successfully, an individual must be able to perform each essential duty satisfactorily. The requirements listed below are representative of the knowledge, skill and ability required.

Education: Bachelor’s Degree in a related field or equivalent work experience. CRCM, CAMS, or similar certification preferred. Ongoing Compliance related education is required.

Experience: 5 years of progressive experience in banking compliance or regulatory roles.

Skills: Full knowledge of applicable laws and regulations impacting consumer and commercial compliance, BSA/AML and OFAC. Excellent communication and interpersonal skills, detail oriented, dependable and ability to multi-task, ability to communicate well with all levels within the bank and outside agencies, ability to research regulations and implement applicable changes, proficiency in MS Office suite.

Human Relations: Requires the ability to communicate effectively both orally and in writing with various levels of staff and outside contacts.

Responsibility and Decision-Making: Regular judgements are made with the guidance of Senior Management and Board of Directors.

Supervision of Others: N/A

Physical Demands: Ability to sit in front of a computer screen for extended periods of time.

Work Environment: The overall working conditions are relatively safe and comfortable, typical of an office environment.

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