Corporate Compliance Analyst

Northmarq

Minneapolis (MN)

On-site

USD 75,000 - 90,000

Full time

14 days+

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Benefits offered by this job

Medical
Dental
Vision
Paid time off
401K match
Parental leave
Education assistance
Volunteer paid time off
Charitable contribution match

Job summary

Northmarq, a leading capital markets resource for commercial real estate, seeks a Compliance Analyst in Bloomington, MN. The role supports the Legal & Compliance team, ensuring regulatory adherence across lending, servicing and investment sales, with a flexible in-office schedule and remote options when appropriate.

Ideal candidates have 3+ years in compliance or risk management within regulated environments, a related bachelor’s degree, and strong knowledge of federal privacy and lending rules.

Qualifications

  • Bachelor’s degree in Business Administration, Finance, Accounting, Communications, paralegal studies, legal studies, or a related field (preferred).
  • Paralegal certification (preferred).
  • Experience with regulatory, governance or legal initiatives in a highly regulated environment.

Responsibilities

  • Monitor compliance-related filings and registration requirements and coordinate timely submissions.
  • Manage licensing and registration for company professionals and track renewals.
  • Maintain compliance records, reporting, and administrative processes for audit readiness.
  • Coordinate preservation efforts and regulatory inquiries with stakeholders and counsel.
  • Assist with compliance monitoring, risk assessments, and special projects.
  • Monitor regulatory developments impacting CRE lending, servicing, and investment sales and implement changes.
  • Research regulatory requirements and assess potential impacts for business decisions.
  • Support agency lending programs and broker licensing regulatory frameworks.
  • Additional responsibilities may align with department strategies and objectives.

Skills

Regulatory knowledge
Communication skills
Microsoft Office

Education

Bachelor's degree in business/related field
Paralegal certification (preferred)

Tools

Adobe Acrobat

Job description

At Northmarq, you can be part of something special. Northmarq is a unique capital markets resource for commercial real estate investors, providing our clients access to experts in debt, equity, investment sales, loan servicing, and fund management. We offer you a career path with best‑in‑class training, and we foster inclusive teams committed to collaboration, mentoring, and growth. At Northmarq, we will help you unlock your potential – whether you are an industry veteran or you’re just getting started. Your new career is waiting. Start something special today. Northmarq was voted by Real Estate Forum as one of The Best Places to Work in Commercial Real Estate!

Northmarq is seeking a Compliance Analyst to join the Legal & Compliance team at our Bloomington, MN headquarters office. This position plays a key role in supporting the company’s compliance management framework, helping ensure adherence to regulatory requirements applicable to commercial real estate lending, servicing and investment sales activities. The Compliance Analyst will support compliance monitoring, regulatory change management, licensing and registration requirements, audits, examinations, and risk mitigation efforts while partnering with stakeholders across the organization.

*This role supports a flexible schedule that prioritizes in‑office teamwork, with flexibility for remote work when appropriate.

Specific Responsibilities
  • Monitor compliance‑related filings and registration requirements, identify upcoming obligations, and coordinate with internal stakeholders to ensure timely and accurate regulatory submissions.
  • Manage licensing and registration requirements for company professionals, including tracking renewals, maintaining records, and coordinating filings with regulatory agencies.
  • Maintain compliance records, documentation, reporting, and administrative processes to support regulatory obligations and audit readiness.
  • Coordinate document preservation efforts, regulatory inquiries, and other compliance‑related matters in partnership with internal stakeholders and external counsel, as needed.
  • Assist with compliance monitoring, risk assessments, and special projects to enhance the organization’s compliance management framework.
  • Monitor regulatory developments and industry requirements impacting commercial real estate lending, servicing, investment sales and assist with implementation of compliance‑related changes.
  • Conduct research of regulatory requirements and industry guidance to assess potential compliance impacts and support business decision‑making.
  • Support compliance initiatives related to agency lending programs, broker licensing requirements, and other applicable regulatory frameworks.
  • Additional responsibilities may be added to align with department strategies and objectives.
Education and Work Experience

Education:

  • Bachelor’s degree in Business Administration, Finance, Accounting, Communications, paralegal studies, legal studies, or a related field (preferred).
  • Paralegal certification (preferred).

Work Experience:

  • Minimum of 3 years of experience in compliance, risk management, regulatory affairs, audit, or a related function, preferably within the commercial real estate, financial services, lending or mortgage industries.
  • Experience supporting compliance, regulatory, governance, or legal initiatives within a highly regulated environment.

Competencies:

  • General familiarity with loan documents, including mortgages, loan agreements, promissory notes, servicing agreements, and the ancillary documents related to such transactions (preferred).
  • Proficient in the use of Microsoft Office (Word, Excel, Outlook) and Adobe Acrobat.
  • Knowledge of federal rules and regulations pertaining to privacy, lending, loan servicing, etc. (a strong plus).
  • Strong decision‑making capabilities, a high level of independent judgment, and understanding of the organization and its business needs.
  • Demonstrated ability to coordinate multiple priorities, manage deadlines and collaborate effectively with internal and external stakeholders.
  • Highly collaborative in nature.
  • Ability to take ownership of tasks and projects while problem‑solving and prioritizing workflow.
  • Strong communication and interpersonal skills to support a cooperative approach.

Northmarq offers a highly competitive benefits package including medical, dental, vision, paid time off, 401K match and an annual discretionary contribution based on business performance, paid parental leave and adoption assistance, education assistance, volunteer paid time off, charitable contribution match and so much more!

Northmarq carefully considers multiple factors to determine compensation, including a candidate’s education, training, and experience. The salary range for the Compliance Analyst position is $75,000.00 to $90,000.00 annually. This range is a good faith estimate and the actual compensation that is offered to a successful candidate will depend on the candidate’s skills, qualifications, and experience.

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