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Compliance Officer - $5,000 Sign-On Bonus - Wichita, KS

Wichita Financial Group
Wichita
Estimated Salary
USD 75.000 – USD 95.000
New
Live Update
12 Agustus 2026
Deadline
12 Agu 2027

Job Description

Are you a detail-oriented professional with a passion for regulatory excellence? Wichita Financial Group is seeking a dedicated Compliance Officer to join our high-performing team. We are offering a $5,000 Sign-On Bonus for top talent looking to make an impact in the heart of Kansas.

In this role, you will serve as the guardian of our organization’s integrity, ensuring that all operations adhere to federal and state laws, internal policies, and industry best practices. You will work in a collaborative environment where your expertise is valued and your contributions directly influence our compliance culture.

Why Join Us?

  • Competitive salary and comprehensive benefits package.
  • $5,000 Sign-On Bonus upon successful completion of probation.
  • Flexible work schedule and remote work options.
  • Professional development and tuition reimbursement.

Ready to take your career to the next level? Apply today!

Responsibilities

  • Conduct comprehensive internal audits and risk assessments to identify potential compliance vulnerabilities.
  • Monitor changes in local, state, and federal regulations to ensure the organization remains fully compliant.
  • Develop, implement, and maintain internal policies and procedures to mitigate risk and ensure operational excellence.
  • Prepare detailed reports for the Board of Directors and regulatory bodies regarding compliance status and findings.
  • Lead training sessions and workshops to educate staff on compliance requirements and ethical standards.
  • Investigate and resolve internal complaints or allegations of non-compliance.

Qualifications

  • Bachelor’s degree in Business, Finance, Law, or a related field required.
  • Minimum of 3-5 years of experience in compliance, auditing, or risk management.
  • Strong understanding of banking, financial services, or healthcare regulations (e.g., BSA/AML, HIPAA, or SEC rules).
  • Professional certification (e.g., CFE, CFEI, or CAM) is highly preferred.
  • Excellent analytical skills with the ability to interpret complex regulatory frameworks.
  • Strong written and verbal communication skills.

Required Skills

Risk Management Auditing Regulatory Compliance BSA/AML Internal Controls SEC Regulations

Ready to Take This Challenge?

Make sure your resume is ready. Submit your application now before the deadline.

Apply Now

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