Compliance Officer
Company: Farmers and Merchants Bank of Long Beach
Location: Lakewood
Posted on: February 13, 2026
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Job Description:
Job Description Job Description Job Summary The Compliance
Officer is responsible for developing and implementing a compliance
program for business unit(s) that s/he supports to ensure adherence
with state and federal laws and regulations, including Bank
policies and procedures to support safe and sound business
practices. Essential Duties Plans, manages, and executes the Bank’s
compliance management program that aligns to the Bank’s second line
risk management standards such as but not limited to: Monitoring
and managing compliance topics and issues for the business units
Developing, implementing, and executing a comprehensive compliance
monitoring and testing program, including written reports and
communication results to senior management Conducting marketing and
disclosure reviews with the business units Ongoing governance and
oversight of covered business areas, and works closely with the
business units to ensure full compliance with regulatory
requirements Assessing, developing and providing compliance
training on relevant topics Identifying training requirements
needed for business units Participating in new or changes to
products and services and/or laws and regulations Policy and
procedure management Researching any regulatory/non-regulatory
complaints to identify systemic trends and root cause Supports the
evolution and enhancement of the compliance program for the
business areas for which s/he is responsible, and lends support in
other areas as instructed by the Chief Compliance Officer. Conducts
reviews and effective challenge for the first line business units
for risk and control self-assessment (RCSA), policies, procedures
and other aspects of the compliance program Analyzes and compiles
data into meaningful reports for the Chief Compliance Officer while
adhering to critical deadlines. Stays abreast of changes in banking
laws and regulations, industry and regulatory trends, and best
practices. Reviews customer complaints to assess root cause and
systemic compliance issues and work with business units to
determine action plans. Maintains knowledge of compliance laws and
regulations to assess emerging and current risks. Prepares monthly
and/or quarterly reporting for the Bank’s Chief Compliance Officer
and senior management Assists the Compliance Department in the
coordination and support of compliance audits and regulatory
examinations While the job description of this role is the primary
function, there may be other compliance areas that may require
additional oversight as deemed necessary by the Chief Compliance
Officer, and the individual must have experience or capability to
learn and obtain the expertise to support the activities required.
Complies with all State and Federal Banking regulatory
requirements, including but not limited to: BSA, Anti-Money
Laundering OFAC, CIP, Financial Elder Abuse Reporting, Sexual
Harassment, Information Security and privacy requirements. This
position will elevate suspicious activity to supervisory staff
and/or BSA department. Completes compliance and other technical
training workshops as assigned. Required Knowledge, Skills and
Abilities Strong critical thinking, judgment, analytical, and
problem-solving skills Flexible and adaptable to changes in the
regulatory environment and requirements of the Bank. Excellent
interpersonal skills with strong ability to manage multiple
projects in a fast-paced environment Strong working knowledge of
laws, compliance requirements and other applicable regulations to
support the programs Strong understanding of banking products,
services, and structure and strong relationship building skills to
liaise with other business units to ensure processes are in line
with required compliance requirements and policies Strong team
player with an ethical and selfless approach to do what is right
for the Bank and team Strong written and verbal communication
skills Strong active listening abilities and willingness to learn
and/or provide advice to foster a strong and cohesive working
environment with peers and business units that the team supports
Respectful with opposing opinions and fosters collaborative
interaction in a team environment, and willingness to contribute to
team efforts Excellent time management, verbal and written
communication skills Strong computer skills with MS Office (Excel,
Word, Power Point) Officer Title Eligibility For qualified
positions, the Bank may designate an Officer Title to an employee
who seeks and/or meets defined competencies for an eligible
position. This position qualifies for the officer title Vice
President. Equipment Operated Desk Top Computers Standard Office
Equipment (copiers, fax machines) Physical Requirements & Work
Environment Requires sitting for prolong periods of time. Requires
lifting of 25 lbs. Office setting w/controlled temperature
Education and Experience Bachelor’s Degree or equivalent work
experience required Working experience in a regional banking
organization is required. 10 years of compliance experience
Industry accreditation is preferred, e.g., CRCM Strong working
knowledge of banking and financial aspects of lending, operational
and deposit compliance requirements Extensive knowledge of state
and federal banking laws and regulations The ability to work
independently, lead and manage a project team, and deal effectively
with peers and superiors is essential, as are strong written and
oral communications skills. Operations Essential Duties Maintains
in depth working knowledge of federal and state banking laws and
regulations, including but not limited to Regulations CC, D, DD, E,
Escheatment/Unclaimed Property, ACH, ATM, Remote Deposit Capture,
E-Sign, FDIC Signage, Regulation II (interchange requirements),
trust accounts and brokered deposits. Supports and manages the
compliance program for the operational, treasury management and
payment areas to ensure adherence with state and federal laws and
regulations, policies and procedures Support business units by
reviewing Bank advertising collateral, disclosures and agreements
and/or operational activities related but not limited to fraud,
ATM, and ACH activities and Regulation E unauthorized use claims.
Experience and strong ability to research new regulations related
to new and/or changes to products, services and delivery channels
assist senior management in interpreting guidelines in sometimes
abstract business models with undefined and/or unclear compliance
requirements Effective writing and communication skills to keep
Chief Compliance Officer and senior management of key and emerging
compliance risk Supports the Bank’s Complaint Management Program
and works with key stakeholders to identify timely remediation and
to conduct root cause analysis, if needed. Responsible for
identifying new/revised statutes and regulations affecting the
areas of coverage and responsibilities but will have compliance
knowledge to support other areas as needed. This job description is
not intended to be all-inclusive, and employees will be required to
perform additional related work duties as assigned by their
immediate supervisor and/or management. Farmers and Merchants Bank
of Long Beach reserves the right to revise or change job duties and
responsibilities as the need arises. This job description does not
constitute a written or implied contract of employment.
Keywords: Farmers and Merchants Bank of Long Beach, La Mirada , Compliance Officer, Accounting, Auditing , Lakewood, California