Job Description
Join Alaska Financial Group as a Compliance Officer with unprecedented schedule flexibility! We're seeking a detail-oriented professional to ensure regulatory adherence while maintaining work-life balance. This hybrid role offers adaptable hours to accommodate your personal needs, including compressed workweeks or staggered start times. Lead critical compliance initiatives in a supportive environment that values autonomy and professional growth.
As a cornerstone of our risk management team, you'll safeguard our operations against regulatory violations while mentoring junior staff. Enjoy competitive compensation, comprehensive benefits, and the unique opportunity to shape compliance standards in Alaska's dynamic financial landscape.
Responsibilities
- Develop, implement, and monitor compliance programs aligned with federal/state regulations (FINRA, SEC, etc.)
- Conduct thorough risk assessments and internal audits across banking operations
- Investigate regulatory violations and recommend corrective actions
- Prepare comprehensive compliance reports for executive stakeholders
- Train staff on updated regulatory requirements and internal policies
- Collaborate with legal department on regulatory changes and enforcement actions
- Maintain meticulous documentation of compliance activities
Qualifications
- Bachelor's degree in Finance, Business, Law, or related field
- 5+ years of compliance experience in financial services
- Active CRCM (Certified Regulatory Compliance Manager) or CAMS certification
- Deep knowledge of Alaska banking regulations and federal compliance frameworks
- Exceptional analytical skills with attention to detail
- Strong written/verbal communication abilities
- Proven experience developing compliance policies/procedures
- Ability to work independently with minimal supervision