Compliance Analyst

World FinanceGreenville, SC
Onsite

About The Position

The Compliance Monitoring and Testing Analyst is responsible for supporting the Company’s Compliance Management System (CMS) through a dual focus on internal compliance monitoring and third-party risk oversight. This role conducts second-line testing to evaluate adherence to federal and state regulations, internal policies, and control effectiveness. In parallel, the Analyst is responsible for key components of the Third-Party Risk Management Program, including initial due diligence, contract management, onboarding, and ongoing oversight to ensure external partners meet regulatory and contractual standards. Through collaboration with cross-functional teams and continuous improvement efforts, this position helps mitigate risk, drive compliance, and protect the Company from potential consumer harm and regulatory violations.

Requirements

  • Experience with third-party risk assessments and CMS frameworks.
  • 3-4 years of Compliance Audit/Testing experience.
  • Solid understanding of federal and state consumer financial laws (UDAAP, Truth in Lending, Truth in Advertising, FDCPA, ECOA, CARD Act, etc.)
  • Strong understanding of quantitative and qualitative analysis methodologies.
  • Strong critical thinking and attention to detail.
  • Effective communication, analytical, and task management skills.
  • Process improvement oriented.
  • Ability to perform individually and in teams.
  • Proficiency in MS Office.

Nice To Haves

  • Two years of leadership in Compliance function.
  • CTRPR certification highly preferred.
  • Preferred banking experience.

Responsibilities

  • Conduct second-line compliance monitoring and testing to assess the effectiveness of internal controls and the Compliance Management System (CMS).
  • Execute risk assessments to evaluate the Company’s adherence to federal and state consumer financial laws and internal policies.
  • Evaluate third-party compliance with contractual, legal, and regulatory requirements through structured risk reviews during due diligence, onboarding and on an ongoing basis, managing multiple reviews in parallel.
  • Analyze results and data trends to identify root causes of compliance issues and recommend corrective actions.
  • Participate in testing activities related to internally driven changes in products, services, or processes as part of the Company’s change management procedures or those due to regulatory change.
  • Provide summary risk reports and work with internal stakeholders and third parties to implement needed remediation measures.
  • Collaborate with internal stakeholders (e.g., Legal, Information Security, Procurement) to implement and monitor controls that mitigate consumer and third party-related risks.
  • Monitor inventories and remediation efforts to ensure timely resolution of identified compliance gaps and management reporting.
  • Partner with internal teams to coordinate responses to regulatory changes and compliance initiatives.
  • Support the Compliance Director with ad-hoc requests, special projects, and strategic initiatives.
  • Promote a culture of compliance and continuous improvement through process enhancements and stakeholder education.
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