Arkansas Talent Group
Compliance Officer/Manager (Remote)
Arkansas Talent Group, Little Rock, Arkansas, United States, 72208
About the job Compliance Officer/Manager (Remote)
Arkansas Talent Group
is proud to exclusively partner with a private regional bank Headquartered in Little Rock to find a
Compliance Officer/Manager!
*Client is open to hiring a Compliance Officer or Compliance Manager, depending on the candidate and their experience.
This is a great opportunity with a growing bank that has a successful track record. The
Compliance Officer/Manager
will partner with the Chief Compliance Officer to ensure the banks adherence to all applicable laws, regulations, and internal policies. You will manage and enhance the banks compliance program, conduct risk assessments, and implement policies/procedures to mitigate risks. Responsibilities include performing regulatory reviews, delivering employee training, and collaborating across departments to foster a culture of compliance.
Key Responsibilities:
Monitor banking regulations/legislative changes; develop/maintain policies, procedures, and controls to ensure legal adherence Conduct compliance risk assessments and internal audits to identify vulnerabilities, mitigate risks, and investigate/document violations Maintain annual compliance monitoring schedules; evaluate new products/initiatives for compliance risks and mitigation strategies Oversee compliance training programs, disseminate regulatory updates, act as subject-matter expert, and promote a compliance-focused culture Partner with internal audit teams on policy adherence; prepare compliance reports/dashboards for leadership and committees (Audit & Risk, Compliance) Partner with the Chief Compliance Officer, auditors, and business units to address findings, resolve complaints, and evaluate new products/initiatives for compliance risks Basic Requirements:
Bachelors degree in Business, Finance, Law, or a related field. A Masters degree or relevant certifications (e.g., CRCM, CAMS, CCEP) is a plus Minimum 5+ years of progressive compliance experience in the banking or financial services industry; experience in a management role overseeing compliance functions is a plus Must have hands-on experience in compliance regulatory testing (Reg Z, TRID, Reg E, E-Sign) In-depth knowledge of banking regulations, including but not limited to consumer protection laws, and other applicable regulatory frameworks (e.g., FRB, CFPB, FDIC, OCC) Strong analytical, problem-solving, and critical thinking abilities. Proficiency in basic business software for internal communication, spreadsheets, and presentations Excellent verbal, written, and interpersonal communication skills. Ability to interpret complex regulatory issues and convey them effectively to both senior management and staff Demonstrated integrity and commitment to professional ethics
Client is offering competitive compensation, a full benefit package, hybrid or remote capabilities, competitive PTO, Employee Stock Purchase Plan (ESPP), and many other perks.
For more information, please apply directly or send a copy of your resume for review to Jennifer Thompson at jennifer.thompson@arkansastalentgroup.com
Arkansas Talent Group is an Executive Permanent Placement Recruitment Firm, all considerations will be held confidential.
Arkansas Talent Group
is proud to exclusively partner with a private regional bank Headquartered in Little Rock to find a
Compliance Officer/Manager!
*Client is open to hiring a Compliance Officer or Compliance Manager, depending on the candidate and their experience.
This is a great opportunity with a growing bank that has a successful track record. The
Compliance Officer/Manager
will partner with the Chief Compliance Officer to ensure the banks adherence to all applicable laws, regulations, and internal policies. You will manage and enhance the banks compliance program, conduct risk assessments, and implement policies/procedures to mitigate risks. Responsibilities include performing regulatory reviews, delivering employee training, and collaborating across departments to foster a culture of compliance.
Key Responsibilities:
Monitor banking regulations/legislative changes; develop/maintain policies, procedures, and controls to ensure legal adherence Conduct compliance risk assessments and internal audits to identify vulnerabilities, mitigate risks, and investigate/document violations Maintain annual compliance monitoring schedules; evaluate new products/initiatives for compliance risks and mitigation strategies Oversee compliance training programs, disseminate regulatory updates, act as subject-matter expert, and promote a compliance-focused culture Partner with internal audit teams on policy adherence; prepare compliance reports/dashboards for leadership and committees (Audit & Risk, Compliance) Partner with the Chief Compliance Officer, auditors, and business units to address findings, resolve complaints, and evaluate new products/initiatives for compliance risks Basic Requirements:
Bachelors degree in Business, Finance, Law, or a related field. A Masters degree or relevant certifications (e.g., CRCM, CAMS, CCEP) is a plus Minimum 5+ years of progressive compliance experience in the banking or financial services industry; experience in a management role overseeing compliance functions is a plus Must have hands-on experience in compliance regulatory testing (Reg Z, TRID, Reg E, E-Sign) In-depth knowledge of banking regulations, including but not limited to consumer protection laws, and other applicable regulatory frameworks (e.g., FRB, CFPB, FDIC, OCC) Strong analytical, problem-solving, and critical thinking abilities. Proficiency in basic business software for internal communication, spreadsheets, and presentations Excellent verbal, written, and interpersonal communication skills. Ability to interpret complex regulatory issues and convey them effectively to both senior management and staff Demonstrated integrity and commitment to professional ethics
Client is offering competitive compensation, a full benefit package, hybrid or remote capabilities, competitive PTO, Employee Stock Purchase Plan (ESPP), and many other perks.
For more information, please apply directly or send a copy of your resume for review to Jennifer Thompson at jennifer.thompson@arkansastalentgroup.com
Arkansas Talent Group is an Executive Permanent Placement Recruitment Firm, all considerations will be held confidential.