Compliance Auditor II

Posted Yesterday
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Davenport, IA, USA
In-Office
65K-65K Annually
Junior
Financial Services
The Role
Assist in completing regulatory compliance audits for QCR Holdings and subsidiaries. Perform functional and compliance reviews, testing, data analysis, workpapers, and draft audit reports. Evaluate internal controls and policies, conduct interviews, recommend improvements, and support audit management with reviews and feedback. Maintain regulatory knowledge and develop compliance audit skills.
Summary Generated by Built In

Description

TITLE: Compliance Auditor II

DEPARTMENT: 996-Internal Audit/Loan Review/Compliance

JOB SUMMARY:

The Compliance Auditor II is responsible for assisting in the completion of the regulatory compliance audit schedule for QCR Holdings, Inc., and its subsidiaries. Perform operational, functional, and compliance reviews and testing. Work closely with other audit staff and bank management to ensure timely completion of compliance audits.

ESSENTIAL FUNCTIONS:

  • Work with department managers to ensure requested items are received correctly and promptly.
  • Perform functional audits, procedural reviews, and testing including reviews of complex regulatory requirements and business units.
  • Conduct employee and manager interviews to obtain an understanding of the auditable unit.
  • Compile and analyze complex data and formulate conclusions by preparing workpapers and audit reports that detail findings and recommendations.
  • Evaluate and test established internal controls, policies and procedures for the Banks’ compliance programs.
  • Identify and complete non-standard procedures required to satisfy audit objectives based on fieldwork or issues identified in the course of reviews.
  • Prepares written draft audit reports to management detailing audit results for compliance audit management’s review.
  • Recommend changes to audit steps and workpapers based on fieldwork, regulatory changes, and/or business unit changes.
  • As directed by Audit Management, assist with reviewing other internal auditors’ work/completion of audit steps along with providing constructive feedback & review comments. Verify the auditor cleared review comments accordingly and ensure draft report is ready for Senior Auditor/Supervisor’s review.
  • Maintain audit and regulatory compliance knowledge and through training programs, seminars, and publications. Expand technical knowledge of all subsidiaries’ departments through employee interaction.

Continually develop and expand compliance audit skills as well as develop best practices.

  • Comply with all company and regulatory policies, procedures and requirements that are applicable to this position.
  • Foster and preserve a culture of diversity, equity, and inclusion.
  • Additional duties and responsibilities may be required to support the company’s mission, vision and values. 

QUALIFICATIONS:

  • Bachelor’s degree in business or the equivalent in related work experience. A strong technical background with banking, compliance, or auditing experience is preferred.
  • Minimum of 2 years bank regulatory compliance experience, preferably with bank regulatory compliance auditing.
  • Compliance certification such as CCBCO.
  • Experience with banking compliance regulations with the ability to read, interpret, and simplify technical and complex regulatory information. 
  • Ability to work independently, perform duties objectively and have a proven ability to communicate effectively.
  • Sound judgement and keen sense of urgency, accuracy, and initiative.
  • Working knowledge of computers, including but not limited to Microsoft Office Suite and various banking applications.

WORKING CONDITIONS:

  • Duties performed in a professional office environment.
  • Minimal travel to all QCRH company locations, as needed.

SALARY & BENEFITS:

The minimum salary range for this position is $65,000 annually. The actual starting salary will be based on qualifications and business needs and may vary, as permitted by applicable state law.

  

This position is a regular full-time position and individuals employed as regular full-time are eligible for the following benefits subject to the terms, limitations and conditions of each benefit plan: Health, Dental, Vision, Life Insurance, Disability Insurance, FSA, HSA, 401K, Employee Stock Purchase Plan, Paid Time Off, Paid Holidays and additional Voluntary Supplemental Insurance.

At QCR Holdings, Inc. we are committed to fostering and preserving a culture of diversity, equity, and inclusion and strongly believe that it's our differences - of all kinds - that make our company and our communities better and stronger.

QCR Holdings, Inc. is an equal opportunity employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, disability, age, sexual orientation, gender identity, national origin, veteran status, or other protected class status.

It is the policy of QCR Holdings, Inc. to comply with the Americans with Disabilities Act by providing reasonable accommodations to enable qualified individuals with disabilities to access the job application and interview process, to perform the essential functions of the job, and to receive equal access to other benefits and privileges of employment.

Skills Required

  • Bachelor's degree in business or equivalent related work experience.
  • Minimum of 2 years bank regulatory compliance experience.
  • Bank regulatory compliance auditing experience (preferred).
  • Compliance certification such as CCBCO.
  • Experience with banking compliance regulations and ability to read, interpret, and simplify complex regulatory information.
  • Ability to work independently and communicate effectively.
  • Sound judgment, urgency, accuracy, and initiative.
  • Working knowledge of computers, including Microsoft Office Suite and various banking applications.
  • Strong technical background with banking, compliance, or auditing experience (preferred).

QCR Holdings Compensation & Benefits Highlights

The following summarizes recurring compensation and benefits themes identified from responses generated by popular LLMs to common candidate questions about QCR Holdings and has not been reviewed or approved by QCR Holdings.

  • Leave & Time Off Breadth Time off options include paid holidays, PTO, parental leave, Volunteer Time Off, and a formal sabbatical program. The inclusion of sabbaticals and VTO distinguishes the package among mid-sized banking employers.
  • Retirement Support Retirement programs feature a 401(k) with a company match to support long‑term savings.
  • Equity Value & Accessibility Equity participation is available through an Employee Stock Purchase Plan. The ESPP is presented as a differentiator not all similarly sized banks offer.

QCR Holdings Insights

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The Company
HQ: Moline, IL
170 Employees
Year Founded: 1993

What We Do

QCRH Mission Statement: We make financial dreams a reality. About QCR Holdings: QCR Holdings, Inc., headquartered in Moline, Illinois, is a relationship-driven, multi-bank holding company, which serves the Quad Cities, Cedar Rapids, Waterloo/Cedar Valley, Des Moines/Ankeny, and Springfield, MO communities through its wholly owned subsidiary banks, and also engages in commercial leasing through its wholly owned subsidiary, m2 Equipment Finance, LLC based in Milwaukee, WI. QCR Holdings has 27 locations in Illinois, Iowa, Wisconsin and Missouri. This page is to provide general information about QCR Holdings, Inc. Never disclose personal or financial information on LinkedIn. This includes personal information such as account numbers, social security numbers and other non-public information. QCR Holdings, Inc. does not endorse the content, ads or third-party posts placed on this site.

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