A mid-sized Financial Services institution is looking to add a SVP Senior Compliance Officer to their team! While reporting directly to the Chief Risk Officer, the position will primarily oversee the Compliance department, CRA and the Fair & Responsible Banking programs. This role will sit in-office in the Wichita, KS Metro area.
Responsibilities:
- Manage and supervise the implementation of the Bank's Compliance Program and Controls, including the Compliance Management System (CMS).
- Develop and execute the annual Compliance work-plan tailored to ensuring a consistent ethical framework while fostering fair and responsible banking practices.
- Oversee monitoring, testing plans, and risk-based assessments to cover top regulatory risks promptly, enhancing issue identification, analysis, and resolution procedures.
- Conduct targeted assessments in response to escalated areas of compliance risk.
- Identify, report, and escalate monitoring and testing outcomes to internal stakeholders, highlighting thematic and enterprise-wide issues.
- Ensure effective utilization of the Bank's technology solutions for CRA, Fair Lending, and HMDA.
- Chair the Compliance Committee and provide oversight to the Bank's CRA Officer.
- Maintain an up-to-date understanding of State and Federal regulations, staying informed about emerging regulatory compliance risks.
Qualifications:
- 7+ years experience in Regulatory Compliance in Financial Services
- 4+ years managerial experience required
- Experience with CRA, HMDA, and Fair and Responsible banking
- CRCM, CAMS, or other Compliance certifications are a plus
Benefits:
- Comprehensive healthcare (Dental, Health, and Vision)
- Employee Stock Purchase Plan (ESPP)
- 401k + company match
