Fidelity Bank

Compliance Manager

Fidelity Bank$70K — $95K *
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's degree or higher, or 5+ years of related experience
  • 5+ years supervisory experience in a compliance role
  • Experience with banking regulations and compliance frameworks
  • Strong verbal, written, and organizational skills
  • Excellent analytical abilities for problem identification
  • Proficiency in Microsoft Office
  • Flexibility to work late hours if needed

Responsibilities

  • Collaborate with the Director of Audit and Compliance on the Compliance Management Program
  • Implement and communicate regulatory policy changes across the organization
  • Conduct ongoing risk and compliance assessments
  • Monitor operational effectiveness and recommend governance strategies
  • Address compliance issues promptly and prepare for potential future challenges
  • Manage fair banking and fair lending programs, ensuring regulatory compliance
  • Provide strategic compliance insights for new products and marketing materials

Benefits

  • Opportunity for professional development in regulatory compliance
  • Collaborative work environment with cross-functional teams
  • Chance to lead critical compliance initiatives
  • Involvement in governance and risk mitigation strategies
  • Engaging role with a focus on strategic consulting
Full Job Description
Job Overview: This position is responsible for maintaining the Bank's Compliance Management Program while ensuring compliance with advertising, deposit and lending regulations. The position requires continuous expansion of regulatory compliance expertise with proficiency developed across multiple functions, while also contributing to process efficiency and effective cross-functional collaboration.

The candidate for this position will be responsible for:
  • Partnering with the Director of Audit and Compliance to administer the Bank's Compliance Management Program.
  • Overseeing the communication and implementation of changes to regulatory policies and procedures, ensuring organizational alignment.
  • Performing ongoing risk and compliance assessments to ensure compliance policies and operational controls are appropriate. Identifying any factors which may affect risk mitigation and compliance with applicable regulatory requirements.
  • Monitoring strategies to ensure operations are effective and identifying any recommendations to support governance and mitigate risk.
  • Ensuring that issues that arise through compliance monitoring are promptly addressed and reviewed, informing all necessary parties of issues and implementing solutions based on recommendations. Anticipating issues that may arise in the future and preparing appropriate deliverables.
  • Leading the management of the Bank's fair banking, fair lending and Community Reinvestment Act programs and overseeing regulatory examinations, ensuring adherence to best practices and regulatory expectations.
  • Establishing expertise in the regulatory environment and remaining up to date on practices aligning with compliance to provide guidance to business units.
  • Serving as a strategic consultant on new products, services, and marketing materials, providing high-level compliance input to leadership.
  • Establishing relationships with specific business lines based on trust and assurance.
  • Providing recommendations and assistance on business activities while implementing and training related regulations.

Requirements for the position include:
  • Bachelor's degree or higher in business related field required (waived in lieu of 5+ years related experience).
  • 5+ years supervisory experience
  • Regulatory compliance, audit, review, or exposure to banking regulations required.
  • Strong verbal, written and organizational skills as well as strong analytical skills with the ability to identify problems.
  • Strong computer skills including proficiency in Microsoft Office.
  • The ability to work late and/or flexible hours.

Preferred qualifications for this position include:
  • Regulatory compliance certification.

About Fidelity Bank

Fidelity Bank is a community bank headquartered in Atlanta, Georgia. It was founded in 1974 and has grown to over 60 branches throughout Georgia and Florida. Fidelity Bank offers a range of personal and business banking services, including checking and savings accounts, loans, mortgages, and wealth management. The bank has over 2,000 employees and is committed to supporting the communities it serves through charitable giving and volunteerism.
Learn more about Fidelity Bank
Size
2,000 employees
Industry

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