Senior Compliance Risk Advisor – Banking

Simmons Bank

Fort Worth (TX)

On-site

USD 90,000 - 130,000

Full time

14 days+
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Job summary

Simmons Bank is seeking a Compliance Specialist III to act as a subject-matter expert in compliance risk management, leading complex initiatives and supporting the bank's Compliance Management System (CMS).

You will independently manage high-risk activities, conduct enterprise-wide risk assessments, oversee regulatory changes, assist examinations and audits, and partner with business units to mitigate risk with strong stakeholder collaboration and clear communication to senior leadership.

Qualifications

  • Bachelor's degree required.
  • Strong knowledge of federal banking laws and CMS.
  • Experience in risk assessments, issue management and regulatory change management.

Responsibilities

  • Serve as a compliance advisor and enterprise risk partner for the organization.
  • Lead compliance risk assessments for high-risk activities and monitor mitigations.
  • Oversee regulatory change initiatives and support regulatory examinations and audits.

Skills

Compliance risk management
CMS knowledge
Regulatory analysis
Stakeholder management
Investigations
Project management
Communication skills

Education

Bachelor's degree

Job description

Simmons Bank is seeking a Compliance Specialist III to act as a subject-matter expert in compliance risk management, leading complex initiatives and supporting the bank's Compliance Management System (CMS).

You will independently manage high-risk activities, conduct enterprise-wide risk assessments, oversee regulatory changes, assist examinations and audits, and partner with business units to mitigate risk with strong stakeholder collaboration and clear communication to senior leadership.

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