Senior Compliance Analyst

Centreville Bank

Warwick (RI)

On-site

USD 70,000 - 100,000

Full time

13 days ago

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Job summary

Centreville Bank seeks a Senior Compliance Analyst to support the VP, Compliance Officer and monitor adherence to the bank’s compliance program, with emphasis on deposit-related regulations. You will train staff, help develop policies, and communicate new requirements across lines of business.

The role requires strong regulatory knowledge, analytical skills, and the ability to read and interpret government regulations. Located at West Warwick, RI, with potential travel to other branches.

Qualifications

  • Bachelor’s degree in Finance, Business, or related field or equivalent banking compliance experience.
  • CRCM certification preferred for advanced regulatory practice.
  • Strong understanding of deposit-related regulations and compliance requirements.
  • Proven ability to read, analyze and interpret complex regulations.
  • Excellent written and verbal communication; relationship building.

Responsibilities

  • Support VP, Compliance Officer and perform monitoring to ensure policy adherence.
  • Serve as subject-matter expert for deposit regulations across business lines.
  • Conduct internal monitoring reviews and report results to ERM committee.
  • Review disclosures and assist in internal audits and exams.
  • Oversee Complaint Management System and communicate regulatory changes.
  • Prepare quarterly Enterprise Risk Management materials as needed.

Skills

Regulatory knowledge
Deposit regulations
Analytical skills
Communication skills
Attention to detail
Multi-tasking
Independent work

Education

Bachelor’s degree in Finance/Business or related field
CRCM certification preferred

Tools

Ncontracts HMDA
CRA & Fair Lending tools
Encompass
COCC Insight
Microsoft Office
Visio

Job description

Description

The Senior Compliance Analyst supports the VP, Compliance Officer and performs various tasks and monitoring to ensure adherence with the Bank’s Compliance Management System. The Senior Compliance Analyst duties include, but are not limited to, serving as a subject-matter expert for the Bank with an emphasis on deposit-related regulations, training employees on industry standards, assisting in developing policies, evaluating regulatory compliance laws and regulations, and communicating effectively new compliance policy and procedures as needed.

  • Maintains current knowledge of all compliance regulations, with a particular emphasis on deposit-related regulations, as well as Bank policies and procedures.
  • Serves as a subject matter expert on deposit-related regulations for the Bank’s business lines.
  • Conducts internal Monitoring Reviews, Bank-wide, to evaluate internal operational and procedural compliance. Reports results to the Enterprise Risk Committee.
  • Periodically reviews deposit and loan disclosures for regulatory compliance.
  • Reviews and approves Bank marketing/advertising in accordance with the Bank’s Marketing Initiative Lifecycle approval process.
  • Assists with internal compliance audits and exams (document preparation, information gathering, etc.)
  • Oversight of the Complaint Management System.
  • Keeps abreast of compliance requirements as well as changes/amendments to regulations. Effectively communicates changes across the Bank’s business lines as needed.
  • Assists the VP, Compliance Officer in compiling the quarterly Enterprise Risk Management Committee package.
Requirements
  • Bachelor’s Degree, in Finance, Business Administration, or related field; or equivalent work experience in banking compliance or specialized coursework in a banking compliance related field. Certified Regulatory Compliance Manager (CRCM) certification is preferred.
  • Proven work experience as a compliance analyst with strong understanding of regulatory requirements, more specifically, deposit-related regulations.
  • Strong analytical skills, attention to detail, and the ability to communicate complex regulations clearly.
  • Familiarity with industry specific regulations.
  • Strong verbal and written communication skills, including relationship building skills.
  • Capable of working in a fast-paced environment and managing multiple tasks simultaneously.
  • Ability to identify compliance issues and develop effective solutions.
  • Ability to read, analyze and comprehend government regulations applicable state law and other instruction manuals.
  • Ability to work independently and provide supervisors with regular, written and/or verbal updates and feedback, as well as timely communication of obstacles.
  • Ability to use various office equipment including the ability to utilize applicable software including Ncontracts HMDA, CRA & Fair Lending data collection and reporting software, Encompass, COCC Insight or similar software and Microsoft Office Suite and Visio.
  • Ability to work predominantly in the Bank’s West Warwick, RI Main Office required; however, travel to other Centreville Bank locations may be required.
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