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Remote Banking Regulatory Compliance Analyst

Remote / Online - Candidates ideally in
Greater Upper Marlboro, Prince George's County, Maryland, 20792, USA
Listing for: NASA Federal Credit Union
Remote/Work from Home position
Listed on 2026-07-07
Job specializations:
  • Finance & Banking
    Regulatory Compliance Specialist
Job Description & How to Apply Below

NASA Federal Credit Union is in search of an experienced Regulatory Compliance Analyst with a track record of maintaining awareness of regulatory requirements, risk management issues and best practices affecting financial institution operations. The Compliance Analyst will participate in or lead compliance-related initiatives and projects, including compliance testing. This position will ensure disclosures, forms, marketing material, website, etc. meet regulatory requirements.

It will provide focused compliance support to departments as assigned. The Compliance Analyst must have the ability to manage multiple deadlines in a fast-paced and changing environment.

This position may require you to commute to our Corporate Office in Upper Marlboro, MD periodically for meetings, trainings, and events.

Essential Duties and Responsibilities

include the following with other duties as assigned.

Level I

Acts as a regulatory compliance resource and consistently applies sound review and recommendation techniques as they relate to policies, procedures, and regulations. This responsibility includes the following:

  • Maintains awareness of laws and regulations affecting the Credit Union, assists with research and evaluation of the impact on the Credit Union, and works collaboratively with others throughout the organization.
  • Researches and responds to requests from various departments for compliance assistance.
  • Participates as a compliance resource on corporate and department projects.
  • Works collaboratively with others on the creation and revision of forms, disclosures, policies and procedures, marketing material, etc., to ensure regulatory compliance.
  • Works collaboratively with others to research and draft responses to member complaints, as assigned.
  • Utilizes a compliance management system to communicate and track regulatory updates.
  • Acts as an NMLS Administrator for SAFE Act Compliance.
  • Conducts compliance testing and analyses and provides summary reports.
  • Creates and revises operational procedures within area of responsibility.
  • Participates in professional round tables as appropriate; networks with other financial institutions and subject matter experts; attends continuing education as necessary to maintain proficiency with laws and regulations affecting areas of responsibility.
Level II:
All Level I responsibilities and the following
  • Develops business cases and leads corporate projects to implement new or revised regulatory requirements.
  • Coordinates a comprehensive regulatory compliance training program.
  • Coordinates responses to member complaints, including research, drafting and issuance of responses.
  • Reviews forms, disclosures, policies and procedures, marketing material etc., for regulatory compliance prior to issuance.
  • Reviews operational policies created and maintained by business units for regulatory compliance.
  • Researches and evaluates various federal and state laws, regulations and regulatory guidance to ensure Credit Union processes for the various products and services promoted nationwide are compliant and provides summary reports.
  • Participates in compliance-related risk assessments, as assigned.
  • Participates in risk evaluations of new and changing business opportunities, as assigned.
  • Prepares reports by collecting, analyzing, and summarizing information.
  • Assists with the maintenance of the record retention program.
  • Communicates with external legal and compliance professionals when needed.
  • Assists with the preparation of regulatory comment letters, as assigned.
Level III:
All level I and II responsibilities and the following
  • Conducts compliance-related risk assessments and prepares reports for management.
  • Conducts compliance risk analyses and prepares reports for management to support in decision-making.
  • Monitors remediation of compliance related issues.
  • Coordinates complaint management process, including analyzing trends and providing reports to management.
  • Evaluates legal requests, escalating to legal counsel when necessary, and coordinates appropriate response.
  • Assists Compliance Operations Program Manager in leading the Compliance Committee and provides summary reports to management.
  • Prepares regulatory comment letters as…
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