Compliance Analyst (Banking) jobs in Denver, CO

Compliance Analyst (Banking) monitors customer accounts and researches transactions to identify suspicious activity violating current anti-money laundering (AML) regulations defined in the US Bank Secrecy Act (BSA) or other governmental anti-terrorist financing programs. Uses customer data mining and software tools to identify suspicious activity patterns. Being a Compliance Analyst (Banking) reviews daily Currency Transaction Reports (CTR) and Questionable Activity Reports (QAR), and submits Suspicious Activity Reports (SAR) as appropriate. Ensures adherence to Know your Customer (KYC) protocols. Additionally, Compliance Analyst (Banking) may lead or participate in investigations of suspicious activity to pursue corrective actions and ensure completion of required filings. Keeps abreast with regulatory changes, risk management best practices, and trending methods used by fraud perpetrators. Delivers compliance training with up-to-date regulatory information and procedures to develop and guide a well-informed staff. Typically requires a bachelor's degree. May have the Certified Anti Money Laundering Specialist (CAMS) certification. Typically reports to a manager. The Compliance Analyst (Banking) work is closely managed. Works on projects/matters of limited complexity in a support role. To be a Compliance Analyst (Banking) typically requires 0-2 years of related experience. (Copyright 2024 Salary.com)

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Compliance Analyst
  • Ultimus Fund Solutions
  • Denver, CO FULL_TIME
  • SUMMARY The Compliance Analyst I is responsible for assisting compliance officers in support of their Rule 38a-1 compliance program obligations for the clients of Ultimus Fund Solutions (UFS.) Additionally, this role may have significant contact with clients and various internal departments of UFS.                      KEY ACCOUNTABILITIES COMPLIANCE ANALYSIS Maintains and updates the UFS Internal Operating Guidelines as directed for operational related changes. Assists in examination of all fund and advisor-related compliance manuals for recent changes and updates on a weekly basis. Maintains and updates the quarterly reporting checklists and site visit checklists as directed. Assists in analyzing monthly portfolio holding disclosures for UFS clients; includes examining relevancy of timing, content, and audience according to SEC and rating agencies protocols. Reviews and validates SEC compliance calendar for all UFS clients ensuring all required filings are made in a timely manner; aids the Chief Compliance Officers (CCO) by researching any issues and ensuring timely and appropriate corrective action is taken. Conducts and reviews UFS prepared monthly portfolio compliance checklists of UFS clients; reviews for warning and exception activity or changes requiring updates; communicates findings to the appropriate CCO. Prepares and conducts periodic (e.g., daily, monthly, quarterly, and annual) tests to cover monitoring fund and client compliance to the fund prospectus, statement of additional information and regulatory rules. Reviews and analyzes various UFS prepared monthly reports, including rapid trading reports and commission reports for all UFS clients. Reviews and analyzes various adviser prepared reports including cross trades and liquidity reporting. Assists with monitoring, testing and oversight of service providers to fund clients including third-party and UFS transfer agents, distributors, administrators, and investment advisors. Assists with monitoring, testing, and oversight of other third-party service providers including custodians, pricing services, and proxy services. Maintains and updates monthly UFS billing schedules and periodic operation statistics. Maintains UFS client contracts in an organized manager. Coordinates background checks on new advisors and sub-advisors as requested. May conduct annual on-site client visits for funds with simplistic strategies including the review of advisor documentation such as ADV forms, compliance manuals, code of ethics and compliance testing. Assists in responding to SEC and other regulatory examinations and inquiries related to UFS, fund clients and their advisers. Keeps current on regulatory and industry development changes. Participates and assists in various projects. REPORTING AND COMPLIANCE Prepares quarterly board meeting materials and presentations by gathering reports, compiling results, and producing compliance summaries as needed; provides reports to the CCO for final review. Reviews and summarizes board compliance reports as prepared by UFS for compliance with regulatory requirements; suggests edits to CCO as needed. Observes and participates in company Disaster Recovery Plan testing ensuring compliance with regulatory standards. WORKING RELATIOSHIPS Daily contact with internal associates while performing routine compliance testing of policies and procedures. Contact as needed with Service Provider Chief Compliance Officers regarding regulatory requirements. May perform other duties as required and assigned.   KNOWLEDGE, SKILLS, AND ABILITIES (KSA’s) KNOWLEDGE Securities rules and regulatory requirements, investment limitations, and operating policies for mutual funds. Microsoft Office Suite. Adobe Acrobat. SKILLS AND ABILITIES Troubleshoots issues utilizing creative and critical thinking skills. Multitasking, analytical, and organizational skills. Initiative-taking, strategic, and meticulous approaches with a strong commitment to quality, efficiency, and effectiveness. Demonstrates personal integrity, responsibility, and accountability. Effectively uses resources such as time and information in conjunction with associates. Participates in solving problems and making decisions. Presents and expresses ideas and information, written and oral, clearly, and concisely. Actively listens to others to achieve understanding and supports an open exchange of ideas and information. Identifies needs, arranges for, and obtains resources to accomplish individual and department goals. Establishes and develops effective working relationships with associates and clientele during both favorable and unfavorable situations. Modifies team and individual priorities and deadlines in response to added information, changing conditions, or unexpected obstacles and ensures completion.   EDUCATION AND EXPERIENCE Bachelor’s degree in business administration, finance, accounting, or related field. 1 year of general office experience. Experience working in operations or compliance-related functions. Experience working in a mutual fund or a mutual fund service provider. Equivalent education and experience will be considered.
  • 18 Days Ago

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Compliance Analyst
  • Prominds Business Consulting Inc
  • Denver, CO FULL_TIME
  • Job DetailsCompliance AnalystDenver, CO(Onsite position/Hybrid)Long term contractMust-have skills: DevOps, NIST, HIPAA, IRS, CJIS, and others (the more the better), government exp Experience with SDLC...
  • 11 Days Ago

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Compliance Analyst
  • Bright Vision Technologies
  • Denver, CO FULL_TIME
  • Bright Vision Technologies has an immediate opportunity for Compliance Analyst at Denver, CO, US, with minimum 4years of experience.Candidate must have permanent work authorization and work for any em...
  • 1 Month Ago

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Compliance Analyst
  • Snaprecruit.com
  • Denver, CO FULL_TIME
  • Job Title : Compliance AnalystLocation : Denver, CODuration : Permanent HireJob Description :Responsibilities:Review inquiries received and triage as appropriate. For compliance questions, provide tim...
  • 1 Month Ago

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Banking Operations Systems Analyst
  • Fortis Bank
  • Denver, CO FULL_TIME
  • The Banking Operations Systems Analyst is responsible for assisting bank staff with deep technical support, implementation, and maintenance on banking operations products and services. This critical o...
  • 18 Days Ago

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Corporate Banking Analyst
  • U.S. Bank National Association
  • Denver, CO FULL_TIME
  • At U.S. Bank, we’re on a journey to do our best. Helping the customers and businesses we serve to make better and smarter financial decisions and enabling the communities we support to grow and succee...
  • 1 Day Ago

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0 Compliance Analyst (Banking) jobs found in Denver, CO area

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Compliance Analyst
  • Lakeshore Talent
  • Denver, CO
  • Job Description Job Description Lakeshore Talent is seeking a Compliance Analyst for a remote position who will be respo...
  • 4/25/2024 12:00:00 AM

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Research Compliance Analyst
  • University of Denver
  • Denver, CO
  • Research Compliance Analyst Job no: 497243 Work type: Staff Full-Time Location: Denver, CO Categories: Business Operatio...
  • 4/25/2024 12:00:00 AM

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Compliance Analyst- Staffing and Recruiting
  • Lakeshore Talent
  • Denver, CO
  • Lakeshore Talent is seeking a Compliance Analyst for a remote position who will be responsible for internal and client-f...
  • 4/25/2024 12:00:00 AM

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Legal Compliance Analyst
  • Bright Vision Technologies
  • Aurora, CO
  • Bright Vision Technologies has an immediate opportunity for Legal Compliance Analyst at Denver, CO. Minimum of 3-5 years...
  • 4/24/2024 12:00:00 AM

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Senior Compliance Analyst
  • Mavensoft Technologies
  • Denver, CO
  • Job Title: Sr. Compliance Analyst Duration: 8 months (contract) Location: Colorado (Remote, must be Local from Colorado ...
  • 4/23/2024 12:00:00 AM

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Senior IT Compliance Analyst
  • Vector Consulting Inc
  • Denver, CO
  • Our government client is looking for an experienced Senior IT Compliance Analyst on a remote 9+ months contract opportun...
  • 4/23/2024 12:00:00 AM

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Senior IT Compliance Analyst
  • Idr Inc.
  • Denver, CO
  • IDR is seeking a Sr IT Compliance Analyst for one of our top clients in Denver, CO. If you are looking for an opportunit...
  • 4/22/2024 12:00:00 AM

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Senior IT Compliance Analyst
  • ClientSolv Technologies
  • Denver, CO
  • Company Description ClientSolv Technologies is an IT solution firm with over a decade of experience serving Fortune 1000...
  • 4/21/2024 12:00:00 AM

Denver is in the center of the Front Range Urban Corridor, between the Rocky Mountains to the west and the High Plains to the east. Denver's topography consists of plains in the city center with hilly areas to the north, west and south. According to the United States Census Bureau the city has a total area of 155 square miles (401 km2), of which 153 square miles (396 km2) is land and 1.6 square miles (4.1 km2) (1.1%) is water. The City and County of Denver is surrounded by only three other counties: Adams County to the north and east, Arapahoe County to the south and east, and Jefferson County...
Source: Wikipedia (as of 04/11/2019). Read more from Wikipedia
Income Estimation for Compliance Analyst (Banking) jobs
$50,424 to $71,504
Denver, Colorado area prices
were up 0.4% from a year ago