Compliance Officer
Company: Prospect Bank
Location: Terre Haute
Posted on: May 20, 2023
Job Description:
Job Title: Compliance Officer Region: 77 Administrative Reports
To: W. Eric Volkmann, President & CEO FLSA Status: Exempt Prepared
By: Administrative Services Prepared Date: 04/19/2023 Summary: This
position is responsible for ensuring the Bank maintains adequate
credit, market, and operational risk, thus ensuring the Bank is in
full compliance with all banking laws, regulations, and internal
policies and procedures. Serves as an advisor to Senior Management
in the areas of risk, finance, and accounting; makes
recommendations to reduce risk exposure in the areas of
asset/liability, credit, operational, and compliance. Promotes
business for the Bank by maintaining good customer relations and
referring customers to appropriate staff for new services. The
position of Compliance Officer works with the Bank's Risk
Management Team in attaining established compliance goals as
directed by the CEO and the Board of Directors. Essential Duties
and Responsibilities:
- Acts as the Bank s BSA Officer:
- Oversees all aspects of the Bank Secrecy Act (BSA) and
Anti-Money Laundering (AML) programs.
- Review and submit Currency Transaction Reports (CTRs),
Designations of Exempt Persons (DOEPs), and Suspicious Activity
Reports (SARs).
- Maintain and review the Bank s Customer Identification
Program.
- Monitor and review high-risk customers and accounts.
- Retrieve new FinCEN and OFAC lists and disperse them
appropriately.
- Acts as the Bank s Community Reinvestment Act (CRA) Officer:
- Maintain the Bank s CRA Public File.
- Monitor the bank s CRA Performance and make recommendations for
changes, if necessary.
- Monitor Community Development lending and services
activity.
- Research and respond to Compliance and Security questions from
customers and staff.
- Research and interpret new Compliance Regulations for needed
Regulatory changes and procedure changes. Work with Administrative
Services Department to implement changes within the required time
frame.
- Review advertisements, disclosures, and product brochures for
adherence to banking regulations.
- Gather information in coordination with the Risk Management
Team for Safety & Soundness, BSA, Compliance, CRA, IT and Trust
Exams, and various Audits.
- Respond to Auditors and Examiners reports in coordination with
Risk Management Team.
- Report to the Board, monthly and quarterly, on regulatory
changes and bank performance in areas of responsibility.
- Monitor and/or create Bank policies for necessary Regulatory
updates and/or changes as needed. Review policies annually and
submit to Board for approval.
- Fulfills other duties, projects or processes as assigned.
Supervisory Responsibilities: There are no supervisory
responsibilities for Compliance Officer Qualifications: Bachelor's
degree (B. A.) from a four-year College or university; or five
years related experience and/or training; or equivalent combination
of education and experience. Knowledge of Bank Regulations is
required. Knowledge of FISERV programs, analytical approach to
problem-solving, and ability to evaluate, identify issues and
trends, evaluate alternatives, and recommend comprehensive and
innovative solutions to complex problems preferred.
Keywords: Prospect Bank, Terre Haute , Compliance Officer, Accounting, Auditing , Terre Haute, Indiana
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