What are the responsibilities and job description for the Compliance Officer Advisory position at Orrstown Bank?
Position Summary:
This position is responsible for maintaining subject matter expertise for various deposit and/or loan related regulations and areas at the Bank. As the second line of defense this position is accountable to provide support, guidance, and oversight of applicable business units within the Bank and establish regularly scheduled meetings to understand risks, products, services, and the controls of each business line. In addition, this role will be critical in the oversight and management of the Compliant Management Program.
Qualifications:
A bachelor’s degree in a related field normally required; specialized compliance training, and Certified Regulatory Compliance Manager (CRCM), bank regulatory experience with a functional regulatory, or similar compliance experience is preferred.
Demonstrates unquestionable integrity, objectivity and probing inquisitiveness with a tolerance for stress under demanding conditions; proficient computer skills; ability to research, track, update and communicate compliance issues; analyze complex data and extract information critical to identifying and communicating compliance risks; possess business acumen; high degree of understanding bank regulatory compliance requirements; display professional attitude, good judgment and effective human relation skills; ability to work independently, as well as, in a team environment; strong organizational skills with the ability to multi-task and prioritize assignments; maintain confidentiality at all times; a valid driver’s license required.
A minimum of five years bank regulatory compliance experience is required, with competent knowledge of banking and bank related regulations.