Job Description
Join our dynamic team as a Part-Time Compliance Officer and become a guardian of regulatory excellence in Arlington's thriving financial sector. This flexible role offers the perfect opportunity to leverage your compliance expertise while maintaining work-life balance. At Arlington Financial Group, we value integrity, precision, and proactive risk management – qualities we look for in our compliance professionals.
As a key member of our compliance team, you'll ensure our operations adhere to federal regulations, industry standards, and internal policies. This position is ideal for detail-oriented professionals who thrive in a collaborative environment and are passionate upholding ethical business practices. Enjoy competitive compensation, professional development opportunities, and the satisfaction of contributing to a secure financial ecosystem.
Responsibilities
- Monitor and interpret regulatory changes (FINRA, SEC, OCC) to ensure ongoing compliance
- Conduct internal audits and risk assessments across banking operations
- Develop and implement compliance policies aligned with federal/state requirements
- Train staff on compliance procedures and regulatory updates
- Investigate potential violations and recommend corrective actions
- Maintain meticulous compliance documentation and reporting
- Collaborate with legal team on regulatory filings and inquiries
Qualifications
- Bachelor's degree in Finance, Business Administration, or related field
- Minimum 2 years compliance/regulatory experience in financial services
- Strong knowledge of banking regulations (BSA, AML, Reg Z)
- Excellent analytical skills with attention to detail
- Effective written/verbal communication abilities
- Proficiency in compliance software and MS Office Suite
- Certified Compliance & Ethics Professional (CCEP) preferred