The Senior Compliance Analyst position is responsible for ensuring that the Trust Division adheres to all appropriate compliance, policies, procedures, laws and regulations. The individual in this role primarily services the review processes for the Trust Division and related programs and engages in Trust Division BSA/AML/OFAC regulatory compliance. This compliance position works closely with the business, legal, and risk management functions to provide expertise on regulatory compliance matters, assess and measure compliance and related risks and monitor and test the adequacy of the firm’s compliance control environment. Specific responsibilities include program elements such as SAR review and filing, OFAC and 314a requests, client due diligence, subpoena fulfillment, develop and provide BSA/AML training and manage and execute the Trust compliance testing program.
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Job Type
Full-time
Career Level
Mid Level
Number of Employees
5,001-10,000 employees