Job Description
Join Boston Financial Partners as a Compliance Officer and shape regulatory excellence in a dynamic financial environment. We offer fully flexible hours to support your work-life balance while maintaining industry-leading standards. You'll collaborate with cross-functional teams to ensure adherence to federal regulations, internal policies, and industry best practices. Our Boston-based office fosters innovation and professional growth in a collaborative culture.
Responsibilities
- Monitor regulatory changes and implement compliance programs across banking operations
- Conduct risk assessments and internal audits for AML, KYC, and SEC regulations
- Develop training materials and conduct compliance workshops for 100+ employees
- Prepare detailed reports for executive leadership and regulatory bodies
- Lead investigations of compliance breaches and recommend corrective actions
- Collaborate with legal and audit teams on regulatory filings and disclosures
Qualifications
- Bachelor's degree in Finance, Law, or related field (Master's preferred)
- 5+ years compliance experience in financial services or fintech
- Certified Regulatory Compliance Manager (CRCM) or CAMS certification
- Expert knowledge of federal regulations (Dodd-Frank, BSA, FINRA)
- Advanced proficiency in compliance software (e.g., NICE Actimize, Thomson Reuters)
- Exceptional analytical and communication skills
- Proven ability to manage flexible schedules autonomously