Job Description
Join Alaska Financial Group as a Compliance Officer and play a critical role in ensuring regulatory adherence for our growing financial institution. We're offering a competitive salary plus a $15,000 sign-on bonus for qualified candidates who start by December 31, 2023. This position is perfect for detail-oriented professionals passionate about risk management and regulatory compliance in Alaska's dynamic financial landscape.
As part of our Anchorage-based team, you'll work in a supportive environment with opportunities for professional growth and advancement. We provide comprehensive benefits including health insurance, retirement plans, and flexible work arrangements.
Responsibilities
- Develop and implement compliance policies aligned with federal regulations (FINRA, SEC, AML)
- Conduct internal audits and risk assessments to identify compliance gaps
- Monitor regulatory changes and update compliance procedures accordingly
- Train staff on compliance requirements and ethical standards
- Investigate and resolve compliance violations through corrective action plans
- Prepare regulatory reports and maintain accurate compliance documentation
- Collaborate with legal and audit teams on compliance initiatives
Qualifications
- Bachelor's degree in Finance, Business, or related field (Master's preferred)
- 3+ years of compliance experience in financial services
- Knowledge of Alaska state and federal financial regulations
- Certified Compliance & Ethics Professional (CCEP) designation required
- Strong analytical skills with attention to detail
- Experience with compliance management software (e.g., MetricStream)
- Excellent written and verbal communication skills
- Ability to handle sensitive information with discretion