Job Description
Join Alaska Financial Services Group as a Part-Time Compliance Officer and play a pivotal role in safeguarding our regulatory integrity. We're seeking a detail-oriented professional to ensure adherence to federal and state financial regulations while supporting our mission of ethical banking practices in Anchorage. This flexible 20-hour/week position offers competitive compensation and the opportunity to make a meaningful impact in Alaska's financial landscape.
Responsibilities
- Monitor and enforce compliance with FINRA, SEC, and Alaska Department of Banking regulations
- Conduct routine audits of financial transactions and documentation
- Develop and implement internal compliance policies and procedures
- Investigate potential regulatory violations and prepare corrective action plans
- Train staff on updated compliance requirements and best practices
- Maintain accurate compliance records and reporting documentation
- Collaborate with legal counsel on regulatory changes and implementation
Qualifications
- Bachelor's degree in Finance, Business, or related field
- Minimum 2 years of compliance or regulatory experience
- Knowledge of Alaska financial services regulations
- Strong analytical and problem-solving abilities
- Excellent written and verbal communication skills
- Proficiency in compliance software and MS Office Suite
- Ability to work independently with minimal supervision
- Relevant certification (CRCM, CAMS, or CCEP) preferred