Job Description
Join Arctic Financial Group, Anchorage's leading financial institution, as a Part-Time Compliance Officer. We're seeking a detail-oriented professional to ensure regulatory adherence while enjoying Alaska's unique work-life balance. This role offers flexible scheduling and the opportunity to protect our clients' financial interests in a dynamic environment.
As a key member of our risk management team, you'll safeguard our operations against compliance violations while contributing to a culture of integrity. Enjoy competitive compensation, professional development opportunities, and the chance to work with industry experts in Anchorage's thriving financial sector.
Responsibilities
- Monitor and enforce federal/state regulatory requirements (FINRA, SEC, AML)
- Conduct internal audits and compliance assessments quarterly
- Develop/update compliance policies and procedures documentation
- Train staff on regulatory changes and best practices
- Investigate potential compliance violations and prepare reports
- Act as liaison between departments and regulatory bodies
- Maintain accurate compliance records and reporting systems
Qualifications
- Bachelor's degree in Finance, Business, or related field
- 2+ years compliance experience in financial services
- Knowledge of Alaska state and federal regulations
- Strong analytical and problem-solving abilities
- Excellent written and verbal communication skills
- Proficiency in compliance software (e.g., ComplySci, OnBase)
- Ability to work independently with minimal supervision
- Relevant certifications (CRCM, CAMS) preferred