Location: Honesdale,PA, USA
Duties: Responsible for managing and oversee and manage the compliance program for Wayne Bank. The Compliance Manager ensures that all operations, policies, and procedures adhere to the relevant regulations and laws governing the banking industry. This role plays a critical part in maintaining the integrity, ethical practices, and regulatory compliance of the bank. Responsible for establishing, administering, monitoring, and maintaining a bank-wide Compliance Management Program covering all core banking products, services, and functions. Develop and implement a risk-based compliance monitoring program/schedule and perform monitoring of internal processes and systems to ensure compliance, identify areas of non-compliance, recommend corrective actions, and follow-up on recommendations to ensure timely implementation of corrective action.
Skills: Excellent problem-solving and analytical skills, strong communication and interpersonal skills, high attention to detail and accuracy, ability to manage multiple tasks and deadlines, strong leadership and team management abilities.
Technical Skills: Proficient in Microsoft Office Suite and experience with compliance management systems or software.
Experience: Minimum of 5 years of experience in compliance management, preferably within the banking or financial services sector.
Education: Bachelor's degree in finance, business administration, law, or a related field. A Master's degree or professional certifications (e.g., Certified Regulatory Compliance Manager (CRCM)) are preferred.