We’re seeking an experienced and motivated Compliance & CRA Officer to lead and strengthen our compliance programs while helping ensure the bank operates safely, soundly, and in accordance with regulatory requirements.Â
This leadership role offers the opportunity to work closely with management, regulators, and associates across the organization while making a meaningful impact on the bank’s risk management and compliance culture.
Key Responsibilities:
- Serve as the Bank’s Compliance Officer, CRA Officer, and SAFE Act OfficerÂ
- Lead and enhance the Bank’s Compliance Management System (CMS)Â
- Oversee CRA, HMDA, Fair Lending, mortgage quality control, and consumer complaint programsÂ
- Monitor regulatory changes and assist with implementation across the organizationÂ
- Coordinate regulatory examinations, compliance reviews, and auditsÂ
- Develop and maintain compliance policies, procedures, and risk assessmentsÂ
- Prepare reports and recommendations for executive management and the Board of DirectorsÂ
- Provide compliance guidance and support to business units and operational teamsÂ
- Develop and facilitate compliance training programsÂ
- Lead, mentor, and oversee the daily workflow of the Compliance DepartmentÂ
Qualifications:
- Bachelor’s degreeÂ
- CRCM certification preferredÂ
- Minimum of 5 years of experience in banking compliance, CRA, audit, mortgage quality control, or risk managementÂ
- Supervisory or leadership experience preferredÂ
- Experience working with regulatory examinations and compliance management systemsÂ
- Strong knowledge of banking regulations, including CRA, HMDA, Fair Lending, ECOA, TILA, RESPA, Flood, and SAFE Act requirementsÂ
- Excellent communication, organizational, analytical, and problem-solving skillsÂ
- Ability to manage multiple priorities and collaborate effectively across departments
Commercial Bank and Trust Company is an Equal Employment Opportunity Employer-M/F/Vets/Disabled
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