CRA
Company: Golden Bank, N.A.
Location: Houston
Posted on: February 3, 2025
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Job Description:
Job Description: The Bank Compliance/CRA Officer ensures full
compliance with laws, regulations, and professional standards. They
develop policies, conduct audits, provide guidance, and monitor
effectiveness. They oversee Community Reinvestment Act (CRA)
requirements and interact with regulators. Key Responsibilities:
Develop, implement, and update policies and procedures to ensure
ethical and lawful conduct throughout the bank's operations. Stay
up-to-date with new legislation, regulations, and directives, and
incorporate them into the bank's compliance review procedures.
Manage the day-to-day operation of the Compliance Program. Advise
and train bank personnel on compliance matters, including laws,
regulations, and internal policies. Conduct regular compliance
audits, risk assessments, and investigations, and prepare reports
with recommendations. Ensure the bank meets the requirements of the
Community Reinvestment Act (CRA), including preparing CRA public
disclosures, coordinating with auditors, and training staff on CRA
obligations. Continuously monitor the performance of the Compliance
Program and take steps to enhance its effectiveness. Address
alleged violations by evaluating and initiating investigative
procedures. Collaborate with other departments to address
compliance issues and facilitate investigations. Interact with
regulatory agencies, providing information and submitting required
reports and certifications. Stay informed about industry changes,
trends, and best practices, and assess their potential impact on
the bank's processes. Develop and implement comprehensive training
programs to educated bank staff and board members on relevant laws,
regulations and industry standards. Create training materials,
presentations, and workshops that effectively communicate
regulatory requirements and their practical implications for
different departments and roles within the bank. Maintain
documentation of training activities, including attendance records,
training materials, and evaluations, to demonstrate compliance
efforts and support regulatory audits or inquiries. Required Skills
and Qualifications: Bachelor's degree in Finance, Business, or a
related field; a Juris Doctor (JD) or Certified Regulatory
Compliance Manager (CRCM) credential is advantageous. Proven
experience in a compliance role within the banking or financial
services industry. Thorough knowledge of banking laws and
regulations, including the Community Reinvestment Act (CRA).
Meticulous attention to detail and strong problem-solving
abilities. Excellent interpersonal and communication skills to
effectively interact with individuals at all organizational levels
and regulatory bodies. Proficient in risk assessment, control, and
governance frameworks and practices. Ability to handle sensitive
information with confidentiality. Strong leadership skills to
ensure employee compliance with legal and company guidelines.
Proficiency in Microsoft Office Suite and banking-related software.
Work Environment: This role primarily operates in a professional
office environment and utilizes standard office equipment. Some
travel may be required for meetings, training, or conferences.
Employment Type: Full Time Years Experience: 5 - 10 years
Bonus/Commission: No
Keywords: Golden Bank, N.A., Baytown , CRA, Accounting, Auditing , Houston, Texas
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