Job Description
Job Description
We are searching for a Compliance and CRA Officer to develop, implement, and administer a Compliance Management and CRA Program.
Responsibilities:
- Develop, implement, and administer the Compliance Management Program.
- Support independent, state, and federal regulatory audit inquiries.
- Generate compliance policies and procedures and make recommendations to the Board of Directors and senior management where appropriate.
- Maintain strong awareness of banking rules and regulations, including SBA, Prepaid, Deposits, Credit Card, and Commercial Lending.
- Serve as subject matter expert (SME) for regulatory compliance with CRA and multiple other regulations.
- Implement programs to meet the needs of the community and attain CRA compliance goals.
- Collect data and advise management on strategy and actions.
- Utilize business intelligence to develop controls for monitoring compliance, Microsoft Power BI, for example.
- Identify and mitigate risks through verification of the accuracy of APY and APR calculations relative to system and advertising disclosures.
- Oversee testing, third party and regulatory audits, and ensure deficiencies are corrected.
- Conduct compliance training presentations and exercises with existing team members and new hires.
Qualifications:
- Bachelor’s degree, or seven years of related experience consisting of an in-depth background in bank administration, compliance, and management.
- Advanced knowledge of bank administration, lending and operations products and services.
- Ability to mentor others in an individual or group setting.
- Ability to stay current with industry changes and practices.
- Proficiency with Microsoft Office applications, specifically Word and Excel.