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VP, Compliance Officer
Summary
Title:VP, Compliance Officer
ID:1119
Department:Compliance
Description

VP - Compliance Officer

 

Company Overview

Carver Federal Savings Bank was founded in New York City in 1948 to serve African-American and Caribbean-American communities that had been excluded from mainstream financial services. Almost 70 years later, we remain dedicated to community development and financial inclusion. Carver is a publicly-traded company listed on Nasdaq, and among the largest African-American managed banks in the country. Based in Harlem, we primarily serve low- to moderate-income communities in the New York City metro area. We reinvest more than 80% of our deposit base back into the communities we serve.

As we look to the future, Carver seeks to grow and become a premier financial institution, fueled by exceptional products, services, technology, and customer experience. This is where you come in - To help Carver reach the next level we seek a talented, motivated, innovative, and proven compliance leader to join our management team.

 

VP – Compliance Officer

Reporting to the CEO, the Compliance Officer will be responsible for establishing and maintaining the Bank’s compliance program. In addition, the Compliance Officer will provide strategic advice on our regulatory and compliance environment and technical guidance on specific compliance matters.

 

DUTIES AND RESPONSIBLILTIES:

  • Manages the design and implementation of the Bank’s compliance program, including policies, procedures, systems monitoring, technology-based controls, and training, as well as compliance monitoring and testing; periodically reviews the effectiveness of the program in light of business, industry, regulatory, market, and other developments.

  • Assesses and monitors the compliance risks associated with the Bank’s business activities, operations, and products and services.

  • Manages Carver’s relationship with regulatory agencies (primarily our federal banking regulator, the Office of the Comptroller of the Currency), including managing exams, remediation of regulatory findings, and communication with regulators.

  • Develops and maintains an enterprise risk management program appropriate to the size and scope of Carver.

  • Implements and leads robust compliance training for employees and members of the Board.

  • Serves as primary point of contact for financial regulators and manages Carver’s responses to regulatory inquiries and preparation for examinations.

  • On a regular basis, reports to the Board of Directors on compliance matters, including actual or potential compliance program violations.

     

    QUALIFICATIONS:

  • Minimum of eight years of progressive experience in banking compliance or regulatory roles.

  • Minimum of six years of experience dealing directly with banking regulators, preferably the Office of the Comptroller of the Currency.

  • Strong analytical skills required to organize and analyze multiple, complex data.

  • Strong interpersonal, communication and creative thinking skills.

  • Prior management experience.

  • Familiarity with compliance monitoring and testing systems.

  • CRCM, CAMS, or similar certification preferred.

  • Bachelor’s degree required; advanced degree preferred/JD highly desirable

This opening is closed and is no longer accepting applications
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