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N3XT SPORTS

Compliance Lead 2, Regulatory Compliance

N3XT SPORTS

Compliance Lead overseeing adherence to banking regulations and managing compliance programs at N3XT, a financial services startup bridging traditional markets and blockchain.

Posted 7/22/2026full-timeRemote • 🇺🇸 United StatesSenior💰 $150,000 - $170,000 per yearWebsite

Core Competencies

Role fit
Core Competencies

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Demonstrates expertise in regulatory compliance and risk management within the banking and financial services industry, with a strong focus on compliance policy governance, risk assessment, and effective communication with internal teams and regulators.

Highest-signal resume keywords
Regulatory ComplianceRisk ManagementBanking LawsCompliance Best PracticesProcess Automation

ATS Keywords

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Applicant Tracking System Keywords

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Hard Skills
Compliance Risk AssessmentInternal AuditsCompliance Policy GovernanceRegulatory ReportingIssue ManagementMarketing Compliance ProgramRegulatory Updates AnalysisData CollectionPolicy ImplementationProcess Improvement
Soft Skills
Attention to DetailAnalytical SkillsExcellent CommunicationCollaborationAdaptability
Tools & Technologies
Learning Management SystemLLMsAI Agents
Industry Keywords
Compliance Management SystemFinancial ServicesRegulatory FrameworksBank PartnersThird-Party Audits

About the role

Key responsibilities & impact
  • Manage components of the Compliance Management System (CMS) and collaborate with departments to ensure compliance across all business lines.
  • Conduct compliance risk assessments and oversee internal audits to identify and mitigate potential regulatory risks.
  • Work cross functionally with various internal functions to integrate compliance controls into daily operations.
  • Support new and existing product development by advising teams on compliance, risk and control strategies, new product development, and process improvements.
  • Oversee compliance policy governance, ensuring standards are implemented consistently across all departments.
  • Manage the complaint handling process, including working cross functionally to ensure resolutions are accurate, timely, and in compliance with applicable regulatory requirements.
  • Maintain administrative oversight of the compliance training issued via the company’s learning management system.
  • Track and maintain internal and external compliance reporting obligations, including reporting to bank partners, regulator reporting and other administrative functions to meet obligations.
  • Coordinate and lead organizational responses to high-stakes regulatory examinations, third-party audits, and bank partner reviews, ensuring timely collection of data and closure of remediation activities.
  • Support and oversee the issue management process.
  • Maintain and effectively execute the marketing compliance program.
  • Monitor, interpret, document and communicate emerging regulatory updates from FinCEN, OFAC, Wyoming Division of Banking etc, collaborating with general counsel to adjust internal policies to changing obligations.

Requirements

What you’ll need
  • Bachelor’s degree in Finance, Business, Risk Management, or a related field.
  • Proven experience (5+ years) in regulatory compliance, risk management, or a related role in the banking and financial services industry.
  • In-depth knowledge of banking laws, regulatory frameworks, and compliance best practices.
  • Strong ability to analyze regulatory updates and translate them into actionable policies.
  • Hands-on experience with LLMs and AI Agents for process automation.
  • Attention to detail and strong analytical skills to detect potential risks.
  • Excellent communication skills to collaborate with internal teams and regulators.
  • Ability to work in a fast-paced environment and adapt to regulatory changes.

Benefits

Comp & perks
  • Competitive salary
  • Professional development support
  • Flexible work arrangements