VP, Compliance & BSA Officer

Purpose Financial

$110K — $130K *
Finance & Insurance
8 - 10 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's degree required; specialized compliance designations (CRCM or CAMS) preferred.
  • Minimum 10 years of compliance experience in a Financial Institution or consumer financial services company.
  • At least 5 years in a leadership or management role.
  • Deep knowledge of federal consumer protection laws and regulations.
  • Excellent written and verbal communication skills.

Responsibilities

  • Lead and improve the Compliance Management System (CMS) for the Company.
  • Oversee the implementation of the BSA/AML compliance program.
  • Monitor regulatory developments and implement necessary changes.
  • Develop and mentor the Compliance team to enhance capability.
  • Serve as a regulatory liaison for federal and state inquiries.

Benefits

  • Foster a culture of accountability and operational agility.
  • Opportunity for strategic collaboration with senior leadership.
  • Access to professional development and compliance training programs.
  • Engagement in a solutions-driven compliance culture.
  • Business casual dress code.
Full Job Description
Brand: Purpose Financial

Address: 322 Rhett Street, Greenville, South Carolina, United States - 29601

Position Summary

Reporting to the Chief Legal Officer/Chief Compliance Officer, this role leads our enterprise-wide Compliance Management System (CMS) and serving as the Company's Bank Secrecy Act (BSA) Officer. The VP, Compliance & BSA Officer provides strategic direction and operational oversight of all compliance functions, ensuring the Company meets its obligations under applicable federal and state laws, regulations, and internal policies. This role collaborates closely with Senior Management, the Audit and Risk Committee of the Board, and cross-functional business units to foster a solutions-driven compliance culture.

Job Responsibility

Compliance Program Design & BSA/AML Oversight
  • Design and continuously improve the Company's Compliance Management System (CMS), ensuring robust and effective processes that proactively identify and remediate compliance risk, including:
    • Product compliance
    • Risk assessments
    • Data and analytics
    • Issues management
    • Monitoring and testing
    • Consumer complaint management
    • Compliance training
    • Policies and procedures
    • Oversee third-party and vendor compliance obligations as part of CMS framework
  • Serve as the Company's designated BSA Officer with full responsibility for all Bank Secrecy Act / Anti-Money Laundering (BSA/AML) program requirements, including:
    • Developing and implementing the BSA/AML compliance program
    • Overseeing Customer Identification Program (CIP) and Customer Due Diligence (CDD) requirements
    • Serving as the primary regulatory contact for BSA/AML inquiries and examinations
    • Managing the BSA/AML team to execute on the BSA/AML compliance program
  • Monitor regulatory developments (federal and state) and assess the impact on Company operations; lead implementation of required regulatory changes.

Leadership, Culture & Governance
  • Lead, develop, and mentor a highly effective and motivated Compliance team, building capability and bench strength.
  • Foster a culture of accountability, governance, and discipline across the organization through a solutions-oriented mindset that balances compliance rigor with operational agility.
  • Partner with the Chief Legal Officer/Chief Compliance Officer on strategic compliance matters, regulatory strategy, and risk management.

Regulatory Engagement & Reporting
  • Serve as a key liaison with federal and state regulators.
  • Provide regular reporting to Senior Management and the Audit and Risk Committee of the Board on the state of the Compliance Program, including identification of weaknesses, corrective actions, and program updates.


Job Responsibilities Cont.

Education Required

Bachelor's degree required; specialized compliance designations such as CRCM (Certified Regulatory Compliance Manager) or CAMS (Certified Anti-Money Laundering Specialist) highly preferred.

Experience Required

Minimum of 10 years of progressive compliance experience at a Financial Institution (highly preferred) or consumer financial services company; minimum of 5 years in a leadership or management role.

Knowledge Required

Deep knowledge of federal consumer protection laws and regulations (TILA, ECOA, FCRA, FDCPA, UDAAP, BSA/AML, OFAC, GLBA, MLA, SCRA, and applicable state regulations). Thorough understanding of compliance management system frameworks and state/CFPB examination procedures. Excellent written and verbal communication skills. Demonstrated ability to lead teams, manage competing priorities, and influence across functions. Adaptability and flexibility in a dynamic, high-volume, fast-paced environment. Ability to understand and ensure compliance with policies, procedures, and laws governing the consumer lending industry

Physical Requirements

Sitting for long periods of time; standing occasionally; walking; bending; squatting; kneeling; pushing/pulling; reaching; twisting; frequent lifting of less than 10 lbs., occasional lifting of up to 20 lbs.; driving and having access during the workday to an insured and reliable transportation; typing; data entry; grasping; transferring items between hands and/or to another person or receptacle; use of office equipment to include computers; ability to travel to, be physically present at, and complete the physical requirements of the position at any assigned location.

Competencies

OKR

Travel

Occasional

Attire

Business Casual

Other

Must be eligible to work in the USA and able to pass a background check.

Requisition ID: 46595

Similar Jobs

More Jobs at Purpose Financial

More Finance & Insurance Jobs

Find similar VP, Compliance & BSA Officer jobs: