Bayview Financial Holdings, L P

Director, Servicing Compliance

Bayview Financial Holdings, L P$170K — $230K *
Finance & Insurance
8 - 10 years of experience
Job Overview by Ladders

Qualifications

  • 10+ years in mortgage servicing compliance or risk-related roles.
  • Expertise in servicing laws and regulations like RESPA and CFPB.
  • Ability to translate regulatory demands into actionable implementation.
  • Experience collaborating with product and engineering teams in a tech environment.
  • Understanding of audits, controls, and exam processes.
  • Capacity to function at both strategic and detailed operational levels.
  • Bachelor's degree in a relevant field preferred; experience considered.

Responsibilities

  • Interpret federal and state regulatory requirements for product compliance.
  • Translate these regulations into clear product expectations and system behaviors.
  • Ensure regulatory requirements are traceable and documented in product functionality.
  • Monitor and update product designs based on ongoing regulatory changes.
  • Define compliance acceptance criteria for product features and workflows.
  • Prepare exam-ready documentation, controls, and evidence from day one.
  • Provide sign-off on compliance readiness before product releases.

Benefits

  • Fully remote work environment.
  • Medical coverage available starting on the first day.
  • Company-matched 401(k).
  • Competitive salary range of $170,000 to $230,000.
  • Annual bonus eligibility.
Full Job Description
Overview

The Director, Servicing Compliance is a senior leadership role responsible for ensuring that all servicing product capabilities are designed, built, and delivered in full alignment with regulatory and investor requirements. Reporting directly to the SVP, Head of Product, this role is embedded within the product organization and operates as compliance advisory across the platform.

This position is responsible for proactively translating regulatory requirements into product and operational expectations, ensuring compliance is built into system design and not validated after the fact. The role partners closely with Product, Engineering, and Operations to ensure the platform is exam-ready from day one. This role will also be responsible for partnering with the Compliance Organization to ensure alignment with enterprise standards, interpretations, and oversight expectations.

This is a fully remote position that offers a competitive salary range of $170,000 to $230,000, plus an annual bonus. You'll also receive our excellent benefits package, which includes medical coverage starting on day one and a company-matched 401(k). Compensation may vary based on experience, location, and other job-related factors.

Responsibilities

Regulatory Interpretation & Product Translation
  • Interpret federal, state, and investor regulatory requirements (e.g., RESPA, Reg X, TILA, Reg Z, CFPB guidance, Fannie Mae, Freddie Mac, Ginnie Mae, Veterans Administration, and USDA-Rural Housing).
  • Translate regulatory obligations into clear product expectations, requirements, and system behaviors.
  • Ensure consistency and traceability between regulatory requirements and implemented functionality.
  • Monitor ongoing regulatory changes and effective dates, ensuring new or updated requirements are proactively incorporated into product design, prioritized appropriately, and delivered in alignment with required compliance timelines.

Compliance by Design
  • Define and enforce compliance acceptance criteria across all product features and workflows.
  • Ensure compliance requirements are embedded into product design, not retrofitted post-development.
  • Partner with Product Engineers and Business Principals to ensure requirements are complete, testable, and aligned with regulatory expectations.

Communications, Notices, & Disclosures
  • Ensure all regulated borrower communications, notices, and disclosures are fully defined, triggered appropriately, and compliant with applicable regulations.
  • Validate timing, content, delivery methods, and auditability of all communications.
  • Partner with the Compliance Organization and Operations to ensure alignment with current regulatory interpretations.

Exam Readiness & Audit Support
  • Define and prepare exam-ready artifacts from day one, including documentation, controls, evidence, and traceability.
  • Establish standards for audit trails, documentation, and control evidence across the platform.
  • Support internal audits, regulatory exams, and investor reviews as the primary compliance lead for product.

Compliance Validation & Sign-Off
  • Provide final sign-off on compliance readiness for product releases.
  • Ensure all regulatory requirements, controls, and evidence are in place prior to production deployment.
  • Identify and escalate compliance risks, gaps, and dependencies early in the development lifecycle.

Cross Functional Leadership
  • Serve as the primary compliance advisor to Product, Engineering, and executive stakeholders.
  • Partner with the Compliance Organization and Operations to align on interpretations and implementation approaches.
  • Drive alignment across teams on compliance priorities, trade-offs, and risk tolerance.

Qualifications

  • 10+ years of experience in mortgage servicing compliance, regulatory, or risk-related roles.
  • Deep expertise in servicing laws and regulations (e.g., RESPA/Reg X, CFPB requirements) and various GSE agency and investor guidelines.
  • Proven ability to translate regulatory requirements into operational or system-level implementation.
  • Experience working closely with product and engineering teams in a technology or transformation environment.
  • Strong understanding of audit, controls, and exam processes.
  • Demonstrated ability to operate at both strategic and detailed levels.
  • Bachelor's degree from an accredited college or university in a relevant discipline preferred; equivalent practical experience will be considered.


Certifications, Licenses, and/or Registration
  • Law degree preferred, but not required


#LI-Remote

About Bayview Financial Holdings, L P

Bayview Financial Holdings, L.P. is a mortgage investment firm that specializes in acquiring and managing distressed mortgage loans. The company was founded in 1993 and is headquartered in Coral Gables, Florida. Bayview Financial Holdings invests in a variety of mortgage assets, including residential and commercial loans, non-performing loans, and mortgage-backed securities. The company also provides loan servicing and asset management services to third-party clients. Bayview Financial Holdings has over 1,000 employees and manages over $14 billion in assets.
Learn more about Bayview Financial Holdings, L P
Size
1,000 employees
Industry
Founded
1993

Similar Jobs

More Jobs at Bayview Financial Holdings, L P

More Finance & Insurance Jobs

Find similar Director, Servicing Compliance jobs: