Compliance Specialist

FNB BankMayfield, KY
4dOnsite

About The Position

This position supports the Bank’s Compliance Management System (CMS) under the direction of the Chief Compliance Officer. This role performs day-to-day compliance activities, including monitoring, data review, documentation, and regulatory examination support. The position is suited for an individual with prior compliance experience or a related banking background and seeking to expand their expertise in consumer regulatory compliance.

Requirements

  • Bachelor’s degree or equivalent work experience.
  • 3-5 years of bank experience preferred.
  • Proficient in bank systems, compliance software, and reporting tools.
  • Skilled in interpreting government regulations, legal documents, and compliance requirements.
  • Ability to analyze complex data and translate findings into clear, actionable summaries.
  • Strong verbal and written communication skills for engaging with regulatory agencies, courts, and external consultants.
  • Experienced in developing training materials, presentations, and reports on compliance topics.
  • Capable of conducting effective compliance training sessions.
  • Sound judgment and decision-making ability.
  • Responsive and adaptable to changes in business or regulatory environments.
  • Strong interpersonal skills for collaboration and relationship-building.
  • Highly organized with excellent time management.
  • Ability to work independently and manage multiple priorities effectively.

Responsibilities

  • Assist with ongoing administration of the Bank’s Compliance Management System (CMS), including policies, procedures, monitoring, training, and tracking.
  • Perform compliance monitoring, transactional testing, and data analysis according to established schedules and procedures to identify trends, exceptions, and potential compliance risks.
  • Assist in identifying compliance risks through reviews, monitoring, staff inquiries and escalating issues to the Chief Compliance Officer as appropriate.
  • Document monitoring results, exceptions, corrective actions, and supporting evidence in a clear, accurate and organized manner.
  • Maintain a current awareness of the regulatory environment and a working knowledge of state and federal laws and regulations affecting banking including, but not limited to consumer protection, fair lending, CRA, HMDA, deposit and lending regulations.
  • Assist with data collection, validation, and analysis using internal systems and reporting tools.
  • Coordinate with internal departments to obtain data for reviews and examinations.
  • Assist with regulatory change management including research, tracking, and updating materials.
  • Assist in tracking corrective actions and validating remediation has been successfully implemented.
  • Assist with maintaining examination files, issue logs and response tracking.
  • Maintains and monitors the procedures and practices of Bank personnel for compliance with applicable laws and regulations and adherence to established Bank policy.
  • Participate in the development of new products, services, and processes to ensure regulatory compliance considerations are addressed.
  • Work collaboratively with the Bank's internal auditor, external auditors, and outside legal counsel and consultants on compliance-related matters.
  • Assist with preparation for regulatory examinations and external audits including preparing documentation and responding to information requests.
  • Assist with the coordination and completion of compliance/risk related meetings, training sessions, audits, and examinations.
  • Comply with all BSA requirements and complete appropriate documentation.
  • Carries out other such duties as may be assigned or directed.
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