Job Description
Join Alaska Financial Services as a Compliance Officer with flexible hours! We're seeking a detail-oriented professional to ensure regulatory adherence and mitigate risks in our dynamic financial environment. Enjoy work-life balance with customizable scheduling while safeguarding our operations against compliance breaches. This role is perfect for candidates seeking autonomy without compromising impact.
Responsibilities
- Monitor and interpret regulatory changes (e.g., FINRA, SEC, AML) affecting financial services
- Conduct internal audits and compliance assessments across departments
- Develop/implement policies and training programs for staff adherence
- Investigate and resolve compliance incidents with detailed documentation
- Collaborate with legal teams on regulatory reporting and disclosures
- Stay updated on Alaska-specific financial regulations and industry best practices
Qualifications
- Bachelor's degree in Finance, Business, or related field (or equivalent experience)
- 3+ years in compliance/regulatory roles within financial services
- Strong knowledge of federal/state financial regulations
- Excellent analytical and risk assessment abilities
- Certified Compliance & Ethics Professional (CCEP) preferred
- Exceptional written/verbal communication skills
- Proficiency with compliance management software (e.g., OnBase, GRC tools)