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Compliance Officer III
First Bank & TrustCompliance Officer managing the compliance program and training at First Bank & Trust. Collaborating across business units to strengthen compliance risk management and provide oversight of compliance consultants.
Posted 6/23/2026full-timeRemote • Illinois, Iowa, Minnesota, Missouri, Montana, New York, South Dakota, Texas, Wisconsin • 🇺🇸 United StatesSeniorLead💰 $77,776 - $127,397 per yearWebsite
ATS Keywords
Tailor your resumeApplicant Tracking System Keywords
Tip: use these terms in your resume and cover letter to boost ATS matches.
Hard Skills
compliance program managementrisk assessmentscompliance training program administrationcompliance process reviewcompliance reviewsreporting of findingscorrective action implementationregulatory analysisconsumer protection lawsregulatory guidance
Soft Skills
communication skillsanalytical skillsproblem-solving skillsmulti-taskingsupervisory skillsteam collaborationorganizational skillsattention to detailtechnical expertisefostering teamwork
Tools & Technologies
Microsoft Office
Certifications & Qualifications
compliance certification
Industry Keywords
compliance riskthird party compliance consultantsauditorsfederal regulationsstate regulationsregulatory compliancebank trade associationcorporate compliancerisk-based compliancecompliance updates
About the role
Key responsibilities & impact- Manage the day-to-day technical aspects of the established compliance program
- Administration of the compliance training program
- Supervision of the compliance process review program
- Work closely with employees of each business unit to foster a team approach to managing compliance risk
- Complete risk assessments and serve as a compliance resource on projects during the implementation of new products, processes, and services
- Facilitate, maintain, and enhance a comprehensive, risk-based compliance training program
- Manage the Bank’s engagements of third party compliance consultants and auditors
- Provide oversight of engagement results
- Plan and conduct compliance reviews within established timeframes
- Prepare working papers and detailed reporting of findings and recommendations
- Ensure corrective action is taken
- Submit monthly compliance department updates
- Provide technical expertise in analysis of corporate compliance risk
- Monitor new and pending changes to laws, regulations, and regulatory guidance documents
Requirements
What you’ll need- Bachelor’s degree
- Minimum of seven years of experience as a compliance professional
- Compliance certification from at least one bank trade association
- Comprehensive knowledge of all applicable federal and state consumer protection laws, regulations and regulatory guidance documents
- Strong written and verbal communication skills
- Excellent analytical and problem-solving skills
- Proven ability to multi-task and supervise staff when required
- Above average knowledge of Microsoft Office applications
Benefits
Comp & perks- Medical, Dental, and Vision insurance
- Health Savings Accounts
- 401(k)/ESOP
- Paid Time Off
- Flexible Work Arrangements
- Paid Parental Leave
- Student Loan Repayment Assistance