Job Description
Join Alaska Financial Group as a Compliance Officer and become a guardian of regulatory excellence in the Last Frontier. We're seeking a detail-oriented professional to ensure our operations meet stringent federal and state requirements while fostering a culture of integrity. This role offers competitive compensation, comprehensive benefits, and the opportunity to make a tangible impact in Alaska's financial landscape.
Responsibilities
- Monitor and interpret regulatory changes (FINRA, SEC, Alaska DFS) to implement updated compliance protocols
- Conduct internal audits and risk assessments across banking, lending, and investment services
- Develop training programs for staff on AML, BSA, and Fair Lending regulations
- Prepare detailed compliance reports for executive leadership and regulatory bodies
- Investigate potential violations and recommend corrective actions
- Collaborate with legal counsel on policy updates and regulatory inquiries
Qualifications
- Bachelor's degree in Finance, Business, Law, or related field
- 5+ years compliance experience in financial services or regulated industry
- Active CRCM or CAMS certification preferred
- Deep knowledge of Alaska state banking regulations
- Strong analytical and investigative skills
- Experience with compliance management software (e.g., Wolters Kluwer, ComplyAdvantage)
- Ability to communicate complex regulations clearly to non-technical stakeholders