Camden National Bank

HQ
Camden
Total Offices: 2
575 Total Employees
Year Founded: 1875

Camden National Bank Benefits Overview

Compensation + Benefits

Offers 401(K)

Offers life insurance

Offers disability insurance

Offers supplemental life insurance

Offers dental insurance

Offers health insurance

Offers Health Savings Account (HSA)

Offers Flexible Spending Account (FSA)

Offers vision insurance

Provides family medical leave

Offers generous parental leave

Offers performance bonuses

Offers employee discounts

Career Growth + Development

Provides customized development tracks

Job training & conferences

Provides tuition assistance

Work-Life Balance + Wellbeing

Offers generous PTO

Provides bereavement leave

Provides paid holidays

Provides military leave

Offers an Employee Assistance Program (EAP)

Offers gym membership

Company Culture

Offers a remote work program

Offers diversity-based Employee Resource Groups

5 Days AgoSaved
In-Office
6 Locations
Financial Services
Processes and investigates debit card, Zelle, ATM, and electronic payment disputes; adjudicates claims under Regulation E, card-network rules, and bank policies. Manages provisional and final credits, chargebacks, recoveries, representments, and arbitration within required timelines. Reviews transaction data and supporting documentation, identifies fraud patterns and potential BSA/AML concerns, escalates risks, and supports branch and customer service teams with dispute resolution.
10 Days AgoSaved
In-Office
5 Locations
Financial Services
Design and evolve enterprise security architecture and Zero Trust strategy; align controls with NIST CSF, SOX, and GLBA; evaluate vendor/SaaS security; perform threat modeling and architecture risk assessments; support security for AI and API integrations; mentor teams and respond to security incidents.
10 Days AgoSaved
In-Office
Portland, ME, USA
Financial Services
Support the investment team with client administrative and operations tasks including recurring and ad-hoc reporting, cash request reviews, portfolio presentation preparation, account documentation verification, tax cost research, and process improvement projects. Collaborate with advisors, portfolio managers, and external partners to ensure accurate, timely client service and compliance with investment guidelines.