Compliance Officer

Under the general guidance of the Risk Management, Security & Information Security Officer and in accordance with established policies and procedures, the Bank’s Compliance Officer is responsible for managing all facets of regulatory compliance affecting bank operations, including marketing, deposits, lending and HMDA to ensure adherence to federal and state banking laws and regulations The Compliance Officer is responsible for ensuring compliance training efforts are conducted bank wide. The incumbent must be available as a subject matter expert and resource for compliance related questions, and will be responsible for inquiries from internal, state and federal audits.

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