Compliance Director (Banking) jobs in Vermont

Compliance Director (Banking) manages operations to identify and respond to suspicious activity violating current anti-money laundering (AML) regulations as defined in the US Bank Secrecy Act (BSA) or other governmental anti-terrorist financing programs. Implements oversight systems, interdiction software, and audit processes to perform daily transaction monitoring and identify suspicious activity patterns. Being a Compliance Director (Banking) monitors activity and ensures adherence to Know your Customer (KYC) protocols and regulatory requirements for required filings and reporting. Leads investigations of suspicious activity to pursue corrective actions and ensure completion of required filings. Additionally, Compliance Director (Banking) maintains extensive knowledge of financial regulations, risk management best practices, and changing fraudulent trends to develop and implement appropriate compliance procedures. Delivers compliance training with up-to-date regulatory information and procedures to develop and guide well-informed staff. Typically requires a bachelor's degree. May have the Certified Anti Money Laundering Specialist (CAMS) certification. Typically reports to a director. The Compliance Director (Banking) typically manages through subordinate managers and professionals in larger groups of moderate complexity. Provides input to strategic decisions that affect the functional area of responsibility. May give input into developing the budget. To be a Compliance Director (Banking) typically requires 3+ years of managerial experience. Capable of resolving escalated issues arising from operations and requiring coordination with other departments. (Copyright 2024 Salary.com)

N
Director, Compliance - ESI
  • National Life Group
  • Montpelier, VT FULL_TIME
  • The Director, Compliance reports to the Deputy Chief Compliance Officer. The responsibilities of this role include leading and developing a team managing and performing branch office examinations, managing the Firm’s trade surveillance for both broker-dealer and investment adviser activities, oversee the Firm’s compliance communications, develop and conduct field training, assist with the Firm’s internal controls testing under FINRA Rule 3120 and SEC Rule 206(4)-7 and other projects, as necessary.

    This position requires approximately 20-25% travel. The incumbent may also assist with the development and conduct of other Firm-wide training, as necessary.

    Essential Duties and Responsibilities

    • Support the Firm’s Broker-Dealer and Registered Investment Adviser activities.
    • Manage and oversee the examination process for the Firm’s Offices of Supervisory Jurisdiction (OSJ) and detached branches to ensure compliance with regulatory requirements.
      • Provide guidance and leadership to the Firm’s branch examiners.
      • Conduct on-site examinations, as needed.
      • Provide guidance and training to field branch managers and staff on regulatory requirements and best practices.
      • Develop and implement examination procedures and protocols.
      • Coordinate and schedule examinations with branch managers and regulatory agencies.
      • Review, track, and ensure completion of branch office inspections conducted by OSJ supervisors.
      • Review and analyze examination findings and prepare detailed reports for management and regulatory agencies.
    • Manage and oversee the Firm’s trade surveillance function.
      • Provide guidance and leadership to the trade surveillance team.
      • Ensure the team proactively identifies compliance concerns and raises issues to the appropriate level(s) for resolution.
      • Identify and investigate areas of non-compliance and recommend corrective actions and solutions.
      • Ensure the Firm’s surveillance reports remain current and relevant.
    • Stay updated on changes to securities laws, regulations, and industry trends.
    • Demonstrate effective professional writing skills and develop communications that relay Firm policies, regulatory changes/updates, and reminders of Firm policy.
    • Other duties, as assigned.

    Experience Requirements:

    7 years of general Securities Compliance Required, 10 Preferred

    5 years of Compliance Auditing

    Education Requirements:

    Bachelor's Degree required.

    Certification & Licensure Requirements:

    FINRA Series 7 and 24

    Additional Requirements:

    Additional securities registrations, including Municipal Securities Series 51 or 53, and Investment Adviser Representative registration are beneficial. State insurance license and insurance industry certifications are also a plus (e.g. CFE, CRCP, IACCP).

    The base compensation range represents the low and high end of the range for this position. Actual compensation will vary and may be above or below the range based on various factors including but not limited to qualifications, skills, competencies, location, and experience. The range listed is just one component of our total compensation package for employees.
    Other rewards may include an annual bonus, quarterly bonuses, commissions, and other long-term incentive compensation, depending on the position. National Life offers a competitive total rewards package which includes: a 401(k) retirement plan match; medical, dental, and vision insurance; a company funded wellness account for director and below employees; 10 paid holidays; a generous paid time off plan (22 days of combined time-off for non-exempt employees and exempt employees have discretion in managing their time, including scheduling time off in the normal course of business, but in no event will exempt employees receive less sick time than required by state or local law); 6 weeks of paid parental leave; and 6 weeks of paid family leave after a year of full-time employment.
    National Life is accepting applications for this role on an ongoing basis and the role remains open until filled.
    National Life Group® is a trade name of National Life Insurance Company, Montpelier, VT – founded in 1848, Life Insurance Company of the Southwest, Addison, TX – chartered in 1955, and their affiliates. Each company of National Life Group is solely responsible for its own financial condition and contractual obligations. Life Insurance Company of the Southwest is not an authorized insurer in New York and does not conduct insurance business in New York. Equity Services, Inc., Member FINRA/SIPC, is a Broker/Dealer and Registered Investment Adviser affiliate of National Life Insurance Company. All other entities are independent of the companies of National Life Group.
    Fortune 1000 status is based on the consolidated financial results of all National Life Group companies.
    National Life Group
    1 National Life Dr
    Montpelier, VT 05604

    #LI-DO

    #LI-Hybrid

    Social Media Policy
    Site Disclosure and Privacy Policy

  • Just Posted

C
System Compliance Director
  • Clinical Management Consultants
  • Cuttingsville, VT FULL_TIME
  • An award-winning acute care hospital located in central Vermont is now searching for an experienced System Compliance Director to join their accredited healthcare team. This state-of-the-art facility ...
  • 9 Days Ago

N
Compliance Advisor/Associate Director – Advertising Guidance
  • National Life Group
  • Montpelier, VT FULL_TIME
  • Summary Come join one of America’s fastest growing insurance companies. We are looking for a talented Compliance professional who can partner with our business colleagues to address regulatory concern...
  • 1 Month Ago

A
Surveillance Investigator
  • Allied Universal® Compliance and Investigations
  • Burlington, VT FULL_TIME
  • Surveillance Investigator Overview Allied Universal® Compliance and Investigations, North America's leading expert insurance claim investigations, compliance and corporate governance company, provides...
  • 9 Days Ago

A
Surveillance / Claims Investigator
  • Allied Universal® Compliance and Investigations
  • Rutland, VT FULL_TIME
  • Surveillance / Claims Investigator Overview Allied Universal® Compliance and Investigations, North America's leading expert insurance claim investigations, compliance and corporate governance company,...
  • 9 Days Ago

T
Banking Associate (St Johnsbury)
  • TD Bank, N.A.
  • Saint Johnsbury, VT OTHER
  • Work Location: Saint Johnsbury, Vermont Hours: 40 Pay Details: $21.25 - $27.00 USD TD is committed to providing fair and equitable compensation opportunities to all colleagues. The included salary ran...
  • 20 Days Ago

A
Director, IT Compliance
  • Apex Systems
  • Richmond, VA
  • DIRECTOR, IT COMPLIANCE WHO WE ARE Apex Systems is a world-class technology services business that incorporates industry...
  • 4/24/2024 12:00:00 AM

C
Compliance Director
  • Cambridge International Systems, Inc.
  • Arlington, VA
  • Cambridge International Systems is a rapidly growing services and systems integrator based in Arlington, VA, and we are ...
  • 4/24/2024 12:00:00 AM

A
Director, Legal Compliance
  • Anduril Industries
  • Costa Mesa, CA
  • Andurils Legal Team seeks a Compliance Director with a focus on the full spectrum of cUAS, AI, and robotics regulatory i...
  • 4/24/2024 12:00:00 AM

J
Director of Compliance
  • Joebiden
  • Wilmington, DE
  • The Director of Compliance will be responsible for overseeing Biden for Presidents fundraising compliance in accordance ...
  • 4/24/2024 12:00:00 AM

A
Director, IT Compliance
  • Apex Systems
  • University Of Richmond, VA
  • DIRECTOR, IT COMPLIANCE WHO WE ARE Apex Systems is a world-class technology services business that incorporates industry...
  • 4/22/2024 12:00:00 AM

B
Director of Compliance
  • Bluegene Search
  • Pittsburgh, PA
  • Overview We are seeking a Director of Compliance to spearhead our clients compliance initiatives, ensuring our operation...
  • 4/21/2024 12:00:00 AM

M
Director of Compliance
  • Marquette Transportation Company Llc
  • Paducah, KY
  • Title: Director of Compliance Position: Full-time/Salaried Exempt Reports to: VP Corporate Compliance and Regulatory Aff...
  • 4/21/2024 12:00:00 AM

M
Director of Compliance
  • Marquette Transportation Company, LLC
  • Paducah, KY
  • Title: Director of Compliance Position: Full-time/Salaried Exempt Reports to: VP Corporate Compliance and Regulatory Aff...
  • 4/20/2024 12:00:00 AM

Vermont is located in the New England region of the Northeastern United States and comprises 9,614 square miles (24,900 km2), making it the 45th-largest state. It is the only state that does not have any buildings taller than 124 feet (38 m). Land comprises 9,250 square miles (24,000 km2) and water comprises 365 square miles (950 km2), making it the 43rd-largest in land area and the 47th in water area. In total area, it is larger than El Salvador and smaller than Haiti. It is the only landlocked state in New England, and it is also the easternmost and the smallest in area of all landlocked sta...
Source: Wikipedia (as of 04/11/2019). Read more from Wikipedia
Income Estimation for Compliance Director (Banking) jobs
$112,148 to $160,897

Compliance Director (Banking) in Fort Wayne, IN
It administers the SGUS Employee Investment Policy, arranges for the registration of broker–dealer personnel, and conducts compliance training.
November 27, 2019
The CCO plays a leading role in the governance of the bank; establishing control frameworks and service offerings, and is responsible for companies compliance with the Regulatory system, relevant local regulatory requirements, and standards as applicable to the companies branch network.
November 27, 2019
Compliance Director (Banking) in Cheyenne, WY
Compliance officers ensure banks meet industry regulations that have mushroomed since the financial crisis a decade ago, and most global financial hubs have been through a hiring boom.
December 04, 2019
Compliance Director (Banking) in Honolulu, HI
But how much can you earn working in compliance? Will you still be able to pay the mortgage? The school fees? It depends which of the following compliance salary surveys from compliance recruitment firms you trust.
December 15, 2019