Job Description
Join Atlantic Financial Group's elite compliance team as a Senior Compliance Officer in Virginia Beach. We're seeking a strategic leader to drive regulatory excellence in our dynamic financial services environment. Enjoy competitive compensation, comprehensive benefits, and the opportunity to shape our compliance framework in a high-growth organization. If you're passionate about risk mitigation and regulatory innovation, this is your chance to accelerate your career while making a tangible impact.
Responsibilities
- Develop and implement comprehensive compliance programs aligned with federal/state regulations (SEC, FINRA, FFIEC)
- Conduct high-stakes risk assessments and internal audits across banking operations
- Lead investigations into potential compliance violations and recommend corrective actions
- Design and deliver compliance training for 200+ employees across 5 locations
- Collaborate with legal team on regulatory filings and policy updates
- Monitor emerging regulations (AML, GDPR, CCPA) and implement mitigation strategies
- Prepare executive-level compliance reports for the Board of Directors
Qualifications
- Bachelor's degree in Finance, Law, or related field (Master's/JD preferred)
- 7+ years compliance experience in financial services with 3+ years in leadership
- Certified Compliance & Ethics Professional (CCEP) designation required
- Expertise in FINRA, SEC, and banking regulations
- Proven track record of designing enterprise-wide compliance frameworks
- Advanced analytical skills with regulatory data interpretation
- Exceptional communication skills for presenting to C-suite and regulators
- Experience with compliance automation tools (e.g., OnBase, LogicGate)