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Senior Compliance Analyst

Job in San Diego, San Diego County, California, 92189, USA
Listing for: Guild Mortgage
Full Time position
Listed on 2026-10-02
Job specializations:
  • Finance & Banking
    Regulatory Compliance Specialist, Financial Compliance, Risk Manager/Analyst
Salary/Wage Range or Industry Benchmark: 67000 - 90000 USD Yearly USD 67000.00 90000.00 YEAR
Job Description & How to Apply Below

Guild Mortgage Company
, closing loans and opening doors since 1960. As a mortgage banking firm we are dedicated to serving the homeowner/buyer. Our goal is to provide affordable home financing for our customers, utilizing the best terms available while providing a level of professionalism and service unsurpassed in the lending industry.

Position Summary

The Senior Compliance Analyst plays an important role in the organization by supporting Guild Mortgage's Origination division through a broad range of compliance activities, including complaint management, regulatory examinations, compliance monitoring, regulatory research and compliance advisory support. Working under minimal supervision, this role independently manages formal complaints, supports and facilitates state, federal, investor, and agency examinations, and assists in the design and execution of risk-based and other compliance monitoring reviews.

Compensation

This role is an exempt position with a targeted salary range of $67,000 to $90,000 annually.

Compensation at Guild is influenced by a wide array of factors including but not limited to local and federal minimum wage requirements, education, level of experience, and applicant’s geographical location.

Essential Functions
  • Independently investigate, analyze, and manage a high volume of formal complaints involving origination operations. Serve as needed as a backup for servicing related formal complaints.
  • Provide clear, concise, and well supported written responses and communications to regulators, investors, executives, customers and other stakeholders. Perform root cause analysis to determine whether complaints, examination findings, or monitoring results represent isolated events or systemic compliance risk.
  • Coordinate and facilitate state, federal, agency, GSE, and investor examinations, including document production, response coordination, issue tracking, and remediation.
  • Manage multiple examinations and complaint matters concurrently while consistently meeting time sensitive regulatory deadlines.
  • Design, develop, implement, maintain, and continuously enhance risk-based and other compliance monitoring reviews.
  • Develop testing methodologies, sampling approaches, work papers, reporting templates, and executive summaries for monitoring activities.
  • Perform transactional testing, analyze results, communicate findings, and corrective actions.
  • Research and interpret regulatory requirements to support complaints, examinations, compliance monitoring, and other assigned compliance activities.
  • Review regulatory changes applicable to assigned job functions and implement required process updates as directed by management.
  • Prepare executive summaries, trend analyses, examination updates, monitoring reports, and briefing materials for senior leadership.
  • Identify opportunities to strengthen compliance controls, improve processes, and enhance the Compliance Management System.
  • Escalate material compliance risks appropriately and perform other duties as assigned.
Qualifications
  • Bachelor’s degree in business, Finance, Legal Studies, or related field to the position, preferred.
  • A combination of education and experience may be considered in lieu of the Bachelor’s degree.
  • Minimum five years' experience in mortgage compliance.
  • Ability to organize and manage multiple priorities simultaneously.
  • Strong interpersonal and customer service skills.
  • Must be able to handle confidential matters with discretion.
  • Exceptional writing skills with the ability to produce concise, persuasive, and regulator-ready complaint responses, examination narratives, executive summaries, and analytical reports.
  • Strong critical thinking and sound judgment to evaluate complex facts, identify root cause, and develop practical, risk-based recommendations.
  • Excellent organization and time management with the ability to manage numerous concurrent complaints, examinations, monitoring reviews, and special projects.
  • Ability to design and mature compliance monitoring programs and testing methodologies.
  • Executive presence and the ability to communicate effectively with regulators, executives, attorneys, auditors, and operational leadership.
  • Commitment to providing exceptional service through professionalism, responsiveness, effective communication, and collaborative problem-solving across customers, regulators, business partners, and leadership.
  • Excellent verbal and written communication skills required.
  • Highly organized and detail-oriented; ability to work in a fast-paced, metrics-driven…
Position Requirements
10+ Years work experience
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