Job Description
Join our dynamic compliance team and enjoy unparalleled work-life balance with flexible scheduling options. As a Compliance Officer at Financial Integrity Group, you'll safeguard regulatory integrity while maintaining control over your work hours. Our Greensboro headquarters offers hybrid work arrangements, competitive benefits, and career growth opportunities in the thriving financial sector. We value your expertise and believe in rewarding talent with autonomy and competitive compensation.
Responsibilities
- Monitor and interpret regulatory changes (FINRA, SEC, OCC) to ensure organizational compliance
- Conduct internal audits and risk assessments across financial products and processes
- Develop/implement compliance policies and procedures with stakeholder collaboration
- Investigate regulatory inquiries and prepare responsive documentation
- Train staff on compliance protocols and regulatory updates
- Manage compliance reporting for executive leadership and regulatory bodies
- Stay current with industry trends through continuous professional development
Qualifications
- Bachelor's degree in Finance, Business, Law, or related field (Master's preferred)
- 3+ years compliance experience in financial services or regulated industry
- Relevant certifications (CRCM, CAMS, CCEP) highly valued
- Advanced knowledge of banking regulations (BHC Act, TILA, RESPA)
- Exceptional analytical and problem-solving abilities
- Strong written/verbal communication skills for stakeholder interactions
- Proficiency with compliance software and data analysis tools
- Ability to work independently with flexible scheduling requirements