Compliance Manager - Remote Availability

Northrim BankAnchorage, AK
Remote

About The Position

At Northrim Bank, our vision is to be Alaska’s premier bank and employer of choice. We are looking for professional and knowledgeable employees who take pride in their work. We believe in providing value for our customers and communities. This is a remote position. We're looking for an experienced Compliance Manager to lead our compliance program for lending and deposit operations. In this role, you'll be a trusted advisor to leadership, collaborate across departments, and help ensure our bank continues to operate with integrity, accountability, and confidence. If you're someone who enjoys turning regulations into practical solutions, leading meaningful projects, and making a real impact, this could be the perfect opportunity. As our Compliance Manager, you'll play a key role in protecting the bank while supporting innovation and growth.

Requirements

  • Bachelor's degree in Business, Finance, or a related field (or an equivalent combination of education and experience).
  • 8+ years of banking compliance experience.
  • Strong knowledge of both lending and deposit regulations.
  • Previous supervisory or leadership experience is preferred.
  • Military education or experience that aligns with the role will also be considered.
  • Love interpreting regulations and translating them into practical business solutions.
  • Enjoy collaborating with leadership and cross-functional teams.
  • Exceptional analytical and problem-solving skills.
  • Can confidently communicate with regulators, auditors, executives, and employees.
  • Stay organized while managing multiple priorities and deadlines.
  • Experience with compliance monitoring, risk assessments, HMDA, CRA, and consumer protection regulations.
  • Highly proficient with Microsoft Office and comfortable working with compliance reporting and loan analysis systems.

Nice To Haves

  • Certified Regulatory Compliance Manager (CRCM)
  • Certified Compliance Manager (CCM)

Responsibilities

  • Lead and oversee compliance with federal and state lending and deposit regulations.
  • Manage and continuously improve our Compliance Management System (CMS).
  • Conduct risk assessments to identify, evaluate, and mitigate compliance risks.
  • Monitor regulatory changes and guide the organization through implementation.
  • Review and update deposit disclosures, agreements, notices, and consumer communications.
  • Develop and oversee ongoing compliance monitoring and testing programs.
  • Manage HMDA data collection, validation, and regulatory submissions.
  • Prepare CRA reporting and provide updates to executive leadership and the Board of Directors.
  • Oversee consumer complaint management and reporting.
  • Partner with business leaders on compliance projects and new initiatives.
  • Coordinate regulatory examinations and audits, including examiner requests and corrective action plans.
  • Foster a culture where compliance is everyone's responsibility.
  • Lead, mentor, and develop team members while supporting their ongoing compliance education.
  • Complete required compliance training and assist with enterprise-wide training efforts.
  • Perform other duties that contribute to the success of the organization.

Benefits

  • Medical, Dental and Vision insurance, including FSA (Flex Spending Account)
  • Paid Time Off to include select paid holidays
  • Retirement Benefits with generous 401K match
  • Paid Parental Leave
  • Education Assistance
  • Employee Assistance Program
  • Employee Wellness Program
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