Job Description
Join Alaska Financial Group as a Remote-Friendly Compliance Officer! We're seeking a detail-oriented professional to ensure regulatory compliance across our financial operations. This pivotal role combines remote flexibility with impactful work in Alaska's growing financial sector. Enjoy competitive compensation, comprehensive benefits, and the opportunity to shape our compliance framework while working from anywhere in the United States.
Responsibilities
- Monitor and interpret federal/state financial regulations (Regulations FF, CCAR, AML, BSA)
- Conduct internal audits and risk assessments across digital banking platforms
- Develop/implement compliance policies for remote banking operations
- Train staff on regulatory changes and compliance protocols
- Manage regulatory reporting for FINRA/FDIC/SEC requirements
- Coordinate with legal counsel on compliance enforcement actions
- Maintain audit trails for remote transaction monitoring systems
Qualifications
- Bachelor's degree in Finance, Law, or related field (Master's preferred)
- 5+ years compliance experience in financial services
- FINRA Series 63/65/66 certifications required
- Expertise in AML/KYC protocols and digital banking regulations
- Experience with remote team management and virtual audits
- Strong analytical skills with regulatory interpretation expertise
- Ability to work independently with minimal supervision