Job Description
Join our dynamic team at Alaska Financial Services as a Compliance Officer in Anchorage. You'll be pivotal in ensuring regulatory adherence, mitigating risks, and fostering a culture of compliance excellence. This role offers the opportunity to work with industry-leading professionals while making a tangible impact in Alaska's financial sector.
Responsibilities
- Monitor and interpret federal/state regulations (e.g., BSA, AML, Fair Lending)
- Develop and implement compliance policies/procedures
- Conduct internal audits and risk assessments
- Train staff on compliance requirements
- Investigate and resolve compliance incidents
- Prepare regulatory reports for FINRA/FDIC
- Collaborate with legal and audit teams
Qualifications
- Bachelor's degree in Finance/Business (or equivalent experience)
- 3+ years compliance/regulatory experience
- CRCM or CAMS certification preferred
- Strong analytical and problem-solving skills
- Knowledge of financial industry regulations
- Excellent written/verbal communication
- Ability to thrive in fast-paced environments