Job Description
Join Cincinnati Financial Group as a Compliance Officer and enjoy the perfect work-life balance with our flexible hours policy. We're seeking a detail-oriented professional to ensure regulatory adherence while maintaining operational excellence. In this hybrid role, you'll collaborate with cross-functional teams to implement compliance frameworks and mitigate risks. Our supportive environment offers remote flexibility while fostering career growth. If you're passionate about ethical standards and want to make an impact in the financial services industry, apply today.
Responsibilities
- Develop, implement, and monitor compliance programs aligned with federal regulations (SEC, FINRA, etc.)
- Conduct risk assessments and internal audits to identify compliance gaps
- Prepare detailed reports for senior management and regulatory bodies
- Train staff on compliance policies and regulatory updates
- Investigate potential violations and recommend corrective actions
- Stay current with industry regulations and best practices
Qualifications
- Bachelor's degree in Finance, Business, Law, or related field
- 3+ years of compliance experience in financial services
- Strong knowledge of SEC, FINRA, and Ohio state regulations
- Excellent analytical and problem-solving skills
- Proficient in compliance software and MS Office Suite
- Strong written and verbal communication abilities
- Ability to work independently with flexible scheduling