The Compliance Analyst will support the development, implementation, and monitoring of compliance programs to ensure adherence to regulations and internal policies. The ideal candidate will have a basic understanding of compliance frameworks, regulatory requirements, and risk management practices within the financial services sector.
Reporting directly to the Vice President - Compliance, this position works from our office in Midtown Atlanta with the flexibility to work remotely two days per week. (This is NOT a fully-remote role.) What you'll do:
Assist in the development and implementation of compliance policies and procedures.
Support other Compliance team members who are conducting assessments to ensure adherence to regulations and internal standards.
Support other Compliance team members who are assisting the business units to take reasonable steps to ensure that operational activities are compliant with relevant legislation.
Collaborate with internal teams to address compliance related inquiries and issues.
Assist in the preparation of reports for regulatory bodies and internal stakeholders.
Maintain compliance related registers and manage case work investigations.
What experience you need:
Bachelor's degree in Business Administration, or related field.
0-2 years of experience in compliance, risk management, or related roles within the financial services sector.
Excellent analytical and problem solving skills.
Strong communication and interpersonal skills.
What could set you apart:
Attention to detail and proactive approach to identifying compliance issues.
Ability to work independently and manage multiple projects simultaneously.
Knowledge of data privacy regulations and best practices. Knowledge of federal regulations for consumer reporting agencies.