06/05/2026
We are hiring a Compliance & CRA Officer.
In this role, you will administer our Compliance Management System, which includes monitoring, managing, and training. Responsibilities include reviewing compliance-related policies and procedures, coordinating Compliance Risk Assessments, assisting with compliance matters, and serving as a resource for management, associates, and teams.
You will oversee our CRA program, the consumer complaint management process, act as SAFE Act Officer, and administer the Bank’s compliance software.
Supervisory responsibilities include overseeing daily workflow, supervising compliance analysts and other assigned associates, interviewing and training new associates in the department, providing timely evaluations, coordinating discipline and termination of associates, and prioritizing and delegating tasks.
A bachelor’s degree and a minimum of five years of banking compliance, CRA, audit, or mortgage quality control experience are required. Supervisory and leadership experience is preferred.
If you are ready to lead and strengthen our compliance programs while helping ensure the bank operates safely, soundly, and in accordance with regulatory requirements, apply here: https://bit.ly/4uexOdG.