Job Description
Join our dynamic team at Pittsburgh Financial Services Group as a Compliance Officer. We're seeking a highly motivated professional to ensure regulatory adherence and drive ethical practices across our operations. This immediate hire opportunity offers competitive compensation and the chance to make a tangible impact in a thriving financial hub.
As a key member of our risk management division, you'll shape compliance strategies while collaborating with cross-functional teams. We value proactive problem-solvers who thrive in fast-paced environments. Enjoy comprehensive benefits, professional development opportunities, and a supportive culture that rewards integrity and excellence.
Responsibilities
- Monitor and interpret regulatory changes (FINRA, SEC, OCC) to maintain compliance frameworks
- Develop and implement internal policies aligned with federal/state requirements
- Conduct periodic audits and risk assessments across departments
- Train staff on compliance protocols and emerging regulatory trends
- Investigate potential violations and recommend corrective actions
- Prepare detailed compliance reports for executive stakeholders
- Collaborate with legal team on regulatory examinations and inquiries
Qualifications
- Bachelor's degree in Finance, Business, Law, or related field
- 5+ years of compliance experience in financial services
- Strong knowledge of banking regulations (Dodd-Frank, BSA/AML)
- Professional certification (CRCM, CAMS, or CCEP preferred)
- Exceptional analytical and problem-solving abilities
- Advanced proficiency in compliance management software
- Proven track record of developing effective control measures
- Excellent written/verbal communication skills