Compliance Project Specialist

Credit Union of America

Wichita, Northern (KS, KY)

Hybrid

USD 70,000 - 90,000

Full time

11 days ago
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Job summary

Credit Union of America is seeking a Compliance Project Specialist to coordinate compliance and support the Project Management team in Wichita, KS, focusing on regulatory change initiatives and departmental action items.

The role requires 3–5 years of related experience or equivalent certifications, a bachelor’s degree, and strong organizational and communication skills to manage timelines and collaborate with Risk Management, business units, and vendors for compliant project delivery.

Qualifications

  • Three to five years of related experience.
  • Bachelor's degree or industry certifications equivalent to a degree.
  • Strong organizational and time management skills with the ability to manage multiple projects.

Responsibilities

  • Coordinate compliance and support Project Management team on regulatory change initiatives.
  • Maintain project plans, timelines, milestones, and supporting documentation.
  • Liaise between Risk Management, business units, vendors and stakeholders to ensure compliance considerations are communicated.

Skills

Organizational skills
Communication skills
Risk management concepts
Internal audit knowledge
Spreadsheets & word processing
Regulatory research

Education

Bachelor's degree
Certifications equivalent to degree

Tools

Spreadsheets
Word processing

Job description

If you are unable to complete this application due to a disability, contact this employer to ask for an accommodation or an alternative application process.

Compliance Project Specialist

Full Time Professional Wichita, KS, US

8 days ago Requisition ID: 1570

Role: Coordinate compliance and support Project Management team, regulatory change initiatives, departmental action items, and ongoing Credit Union of America projects. Work alongside the Risk Manager, Compliance Officer, BSA Officer, department managers, business unit(s), and other stakeholders to support implementation of projects with regard to regulatory requirements, policy and procedure updates, system or vendor-related compliance initiatives, audit/exam corrective actions, and other departmental projects/CUA initiatives.
This position supports the organizational compliance framework by helping coordinate project deliverables, monitor timelines, document decisions, and maintain effective communication across applicable departments.

Essential Functions:

  • Advocate Compliance while coordinating projects and department initiatives, including maintaining project plans, timelines, milestones, task lists, and supporting documentation. Track assigned deliverables, follow up with responsible parties, and provide status updates to the Risk Manager, SVP Risk, and other stakeholders as appropriate.
  • Assist with the maintenance and coordination of compliance program documentation, including policies, procedures, risk assessments, management reports, committee materials, regulatory tracking logs, audit/exam response documentation, and other compliance-related records.
  • Serve as a liaison between Risk Management, business unit(s), project owners, vendors, and other stakeholders to help ensure compliance considerations are communicated, implementation responsibilities are understood, and project-related issues are escalated timely.
  • Assist with external regulatory examinations, internal audit requests, and corrective action tracking, including gathering documentation, monitoring outstanding items, and supporting timely responses to management, auditors, or examiners.
  • Continue professional development through training and participation in professional organizations. Complete at least 20 hours of continuing education and training each year that contributes to professional proficiency.
  • Perform other duties as assigned by supervisor. Employees shall be trained annually, demonstrate an understanding of and follow the requirements of the BSA/AML Compliance Program as it specifically relates to their job.

Knowledge & Skills:

Experience:Three years to five years of similar or related experience.

Education: (1) A bachelor's degree, or (2) achievement of formal certifications recognized in the industry as equivalent to a bachelor's degree (e.g., information technology certifications in lieu of a degree).

Interpersonal:Work involves much personal contact with others inside and/or outside the organization for the purpose of first-level conflict resolution, building relationships, and soliciting cooperation. Discussions involve a higher degree of confidentiality and discretion, requiring diplomacy and tact in communication.

Other Skills:

  • Strong organizational and time management skills to manage multiple projects or competing deadlines.
  • Ability to research and comprehend state and federal regulations applicable to financial institutions.
  • Common knowledge of risk management concepts, with emphasis on financial, operational, and regulatory activities.
  • Working knowledge and experience in internal audit functions preferred.
  • Excellent communication skills, both oral and written, and interpersonal skills required to effectively communicate with internal and external stakeholders.
  • Strong knowledge of spreadsheets and word processing software and comfort with the use of new technologies and software applications.
  • Working knowledge in all areas of accounting and audit procedures and the ability to work independently.
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