Job Description
Join Alaska Financial Services Inc. as a Part-Time Compliance Officer and safeguard our financial operations while contributing to a culture of integrity and regulatory excellence. This role offers the flexibility of part-time hours while allowing you to make a significant impact in Anchorage's dynamic financial sector. We provide competitive compensation, professional development opportunities, and a supportive team environment. If you're detail-oriented with a passion for regulatory compliance, we encourage you to apply today.
Responsibilities
- Monitor and ensure adherence to federal and state financial regulations (e.g., BSA, AML, OFAC)
- Conduct regular compliance audits and risk assessments for client accounts
- Develop and implement internal compliance policies and procedures
- Prepare detailed compliance reports for senior management and regulatory bodies
- Train staff on regulatory updates and compliance best practices
- Investigate potential compliance breaches and recommend corrective actions
- Maintain accurate records of compliance activities and documentation
Qualifications
- Bachelor's degree in Finance, Business, or related field
- 2+ years of compliance or regulatory experience in financial services
- Knowledge of Alaska state and federal financial regulations
- Strong analytical skills with attention to detail
- Excellent written and verbal communication abilities
- Proficiency in compliance software and MS Office Suite
- Certified Regulatory Compliance Manager (CRCM) preferred
- Ability to work independently with minimal supervision