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Compliance Officer

KeyBank NA - Cleveland, OH

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Job Description

Location:4910 Tiedeman Road, Brooklyn OhioABOUT THE JOB:The Compliance Officer will be a member of the Anti-Money Laundering Enterprise Team within Financial Crimes Risk Management (FCRM). The Compliance Officer will support the AML Enterprise Risk Assessment team by performing key activities related to the execution of the Financial Crimes Anti-Money Laundering (AML) and Office of Foreign Assets Control (OFAC) Risk Assessments and related processes, procedures, and controls. Additionally, the Compliance Officer will assist with control testing over FCRM owned controls. This role plays a critical part in evaluating inherent and residual risk across products, services, customers, and geographies, and in assessing the effectiveness of AML/BSA controls throughout the organization. The Compliance Officer will collaborate with MBUs/LOBs, Financial Crimes partners, and internal stakeholders to gather data, perform analysis, and ensure strong documentation in support of enterprise AML/OFAC compliance expectations. Responsibilities align with the broader AML/OFAC risk assessment function described in the higherlevel role.ESSENTIAL JOB FUNCTIONSSupport the Senior Compliance Officer with the execution of components of the AML/BSA and OFAC Risk Assessment, including data collection, validation, and analysis.Support the development and maintenance of risk assessment documentation, workpapers, and reporting.Conduct control testing to evaluate the design and operating effectiveness of AML/BSA and OFAC controls.Document test results, identify control gaps, and support follow up and remediation tracking.Assist with mapping controls to relevant products, services, customer types, and risk assessment components.Support ongoing enhancements to the risk assessment process, including transitions to new formats or methodologies.Partner with MBUs/LOBs to clarify data requirements and support risk related inquiries.Participate in team initiatives, working groups, and other compliance projects as assigned.Maintain awareness of emerging AML/BSA and OFAC risks, trends, and regulatory expectations.EducationBachelor's Degree or equivalent experience (preferred)Work Experience5+ years of experience in compliance, risk management, auditing, or related fields (required)Demonstrated ability to work independently and collaboratively in a regulatory environment (required)Licenses and CertificationsCAMS, CFCS, or other relevant industry certification (or willingness to pursue).REQUIRED QUALIFICATIONSPrior experience in financial institution (i. e., bank and securities industry), compliance, Risk Management, or audit related activityWorking knowledge of the Bank Secrecy Act, USA PATRIOT Act, OFAC regulations, and related risk considerations.Experience supporting risk assessments or conducting compliance/control testing.Strong analytical, research, and critical thinking abilities.Effective written and verbal communication skills, including the ability to summarize findings clearly.Strong organizational skills with the ability to manage multiple priorities.Proficiency in MS Office (Word, Excel, PowerPoint, Teams).PREFERRED QUALIFICATIONSPrior experience performing or supporting risk assessments.Knowledge of Governance, Risk & Compliance (GRC) and RCSAAudit backgroundStrong strategic and consultative skills; experience in process improvement, strategic planning, change management, business integration.Knowledge of FFIEC Examination Manual and/or SEC AML related guidance and regulationsCOMPETENCIES/SKILLSAnalytical mindset and strong attention to detailSound judgment and consistent adherence to regulatory standardsClear, professional communication (written and verbal)Collaboration and relationship buildingAbility to work independently

Created: 2026-04-04

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