Compliance Analyst

Posted 3 Days Ago
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Memphis, TN, USA
In-Office
Mid level
Fintech • Software • Financial Services
The Role
Develops and monitors the bank’s Compliance Management System, conducts compliance reviews, risk assessments, control testing, and third-party due diligence. Reviews products, transactions, marketing materials, disclosures, and processes for regulatory compliance. Supports audits, examinations, remediation, policy administration, training, privacy initiatives, reporting, and regulatory change management while advising business units and management on consumer compliance risks.
Summary Generated by Built In

Job Summary:

The Compliance Analyst develops, administers, and monitors programs designed to ensure compliance with applicable laws, regulations, regulatory guidance, and internal policies governing the Bank's operations, products, services, and third-party relationships. This role supports the organization's Compliance Management System (CMS) through compliance monitoring, risk assessments, due diligence reviews, training, policy administration, and ongoing compliance oversight.

The Compliance Analyst serves as a trusted advisor to business units and management, promoting a culture of compliance and ensuring that management remains informed of compliance risks, regulatory changes, and the effectiveness of the Bank's compliance program.

Main Job Tasks and Responsibilities:

  • Assist in the development, administration, and monitoring of the Bank's Compliance Management System (CMS).
  • Ensure compliance with applicable laws, regulations, regulatory guidance, and internal policies governing operations, products, services, and third-party relationships.
  • Maintain and enhance compliance policies, procedures, manuals, and documentation.
  • Leverage technology to maintain an accurate, accessible, and current repository of regulatory guidance.
  • Stay informed of regulatory developments, emerging compliance risks, and industry trends impacting the financial services industry.
  • Conduct ongoing compliance reviews and monitoring activities to assess adherence to regulatory requirements and internal controls.
  • Perform initial and ongoing compliance due diligence reviews and risk assessments of third parties, vendors, business partners, and service providers.
  • Evaluate compliance management programs, operational processes, policies, procedures, and controls to identify potential compliance risks.
  • Review transactions, products, services, disclosures, and operational activities to ensure compliance with applicable requirements.
  • Assist in the development, implementation, testing, and monitoring of compliance controls.
  • Identify control gaps, operational deficiencies, and potential compliance violations and recommend corrective actions.
  • Serve as a compliance resource and provide guidance to business units and personnel regarding regulatory requirements and compliance-related matters.
  • Partner with business lines, operations, technology teams, marketing personnel, third parties, and other stakeholders to identify compliance risks and implement appropriate controls.
  • Participate in the review and implementation of new products, services, delivery channels, and business initiatives to identify compliance requirements and potential risks.
  • Translate regulatory requirements into operational procedures, business processes, and process documentation.
  • Function as a liaison between business units, support functions, third parties, management, auditors, and the Compliance Department.
  • Review marketing, advertising, customer communications, disclosures, and other collateral materials for compliance with applicable laws, regulations, and internal standards.
  • Assess consumer-facing products and services for compliance with consumer protection requirements.
  • Work collaboratively with Marketing and business stakeholders to address compliance concerns related to advertising and communications.
  • Promote a culture of compliance throughout the organization.
  • Develop, maintain, and support compliance training programs and awareness initiatives.
  • Coordinate and deliver compliance-related communications and education regarding regulatory changes and compliance responsibilities.
  • Ensure compliance-related information is comprehensive, current, and accessible to employees.
  • Work with department managers to incorporate compliance requirements into departmental procedures and operating processes.
  • Assist in preparing compliance reports, monitoring results, risk assessments, and other compliance-related reporting for management.
  • Support internal audits, external audits, regulatory examinations, and compliance reviews.
  • Assist business units in developing corrective action plans and responding to audit or examination findings.
  • Monitor remediation efforts to ensure identified issues are addressed appropriately and timely.
  • Maintain oversight of compliance-related record retention and documentation requirements.
  • Support privacy compliance initiatives and applicable information protection requirements.
  • Participate in technological enhancements and process improvement initiatives designed to increase efficiency, automation, and compliance effectiveness.
  • Manage special projects and perform other duties as assigned.

Education and Experience:

  • Bachelor's degree or equivalent combination of education and experience required.
  • Minimum of 3-5 years of experience in banking compliance, regulatory compliance, risk management, audit, operations, or a related financial services role.
  • Experience supporting or operating within a Compliance Management System (CMS).
  • Experience conducting compliance monitoring, risk assessments, due diligence reviews, and control testing preferred.
  • Knowledge of third-party risk management and vendor due diligence practices preferred.
  • Experience in financial services, banking, mortgage lending, payments, fintech, digital banking, or related industries preferred.
  • Certified Regulatory Compliance Manager (CRCM) designation preferred.
  • Strong knowledge of consumer compliance regulations and principles, including Regulations B, E, DD, and Z, Flood insurance, and UDAAP.
  • Understanding of compliance risk management methodologies, control frameworks, and regulatory expectations.
  • Familiarity with privacy requirements, record retention practices, and regulatory reporting.
  • Proficiency with Microsoft Office applications, including Word, Excel, Outlook, and related software.

Key Competencies:

  • Strong verbal and written communication skills.
  • Excellent analytical and problem-solving abilities.
  • Strong attention to detail and organizational skills.
  • Ability to manage multiple priorities and deadlines in a fast-paced environment.
  • Ability to work independently and collaboratively across departments.
  • Demonstrated judgment, professionalism, and discretion.
  • Adaptability and willingness to embrace change.
  • Strong customer service orientation with internal and external stakeholders.
  • Ability to effectively prioritize work and manage multiple projects simultaneously.
Equal Opportunity Employer
This employer is required to notify all applicants of their rights pursuant to federal employment laws. For further information, please review the Know Your Rights notice from the Department of Labor.

Skills Required

  • Bachelor's degree or equivalent combination of education and experience
  • 3-5 years of experience in banking compliance, regulatory compliance, risk management, audit, operations, or related financial services work
  • Experience supporting or operating within a Compliance Management System
  • Experience conducting compliance monitoring, risk assessments, due diligence reviews, and control testing
  • Knowledge of third-party risk management and vendor due diligence practices
  • Experience in financial services, banking, mortgage lending, payments, fintech, digital banking, or related industries
  • Certified Regulatory Compliance Manager designation
  • Strong knowledge of consumer compliance regulations, including Regulations B, E, DD, Z, flood insurance, and UDAAP
  • Understanding of compliance risk management methodologies, control frameworks, and regulatory expectations
  • Familiarity with privacy requirements, record retention practices, and regulatory reporting
  • Proficiency with Microsoft Office applications, including Word, Excel, Outlook, and related software
  • Strong verbal and written communication skills
  • Excellent analytical and problem-solving abilities
  • Strong attention to detail and organizational skills
  • Ability to manage multiple priorities and deadlines
  • Ability to work independently and collaboratively across departments
  • Demonstrated judgment, professionalism, and discretion
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The Company
HQ: Memphis, Tennessee
528 Employees
Year Founded: 1925

What We Do

For a hundred years, Evolve Bank & Trust has been dedicated to delivering superior financial services. From our roots in Personal and Business Banking & Lending to our work as pioneers in the Banking-as-a-Service (“BaaS”) provider space, Evolve is recognized as a global leader. Nacha named Evolve a Top 50 ACH Originator, and Tearsheet named Evolve Partner Bank of the Year. Evolve has been voted a Top Workplace every year since 2013 and ranked on Inc. Magazine’s 5000 List of the fastest-growing private companies. Member FDIC. Equal Housing Lender. NMLS# 509256

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