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Senior Compliance Analyst – Third-Party Products

Job in Lampton, Salt Lake County, Utah, USA
Listing for: Merrick-Bank
Full Time position
Listed on 2026-05-27
Job specializations:
  • Finance & Banking
    Risk Manager/Analyst, Financial Compliance
Salary/Wage Range or Industry Benchmark: 60000 - 80000 USD Yearly USD 60000.00 80000.00 YEAR
Job Description & How to Apply Below
Location: Lampton

Join our team - and take the next step in achieving a fulfilling career!

Become an everyday champion — and build a career where your impact fuels financial progress.

What We Do Card Works  Financial Group is a diversified financial services platform building ethical solutions across credit, lending, and the full customer lifecycle. Through our family of companies, Card Works Financial Group tackles the complex challenges that larger financial institutions leave behind. We’re embedded throughout the credit card ecosystem as a lender, servicer, and merchant acquirer.

Who We Are Merrick Bank:
The bank that builds

CardWorks Servicing:
One partner, total performance

Carson Smithfield:
Resolution with respect

With nearly 40 years of operating history, our track record is solid: disciplined in downturns and built to accelerate in recovery. The Card Works Financial Group companies take precise approach in complex markets, as a top three non-prime focused general purpose card issuer and a top fifteen U.S. merchant acquirer.

Our team tackles the industry’s most complex credit and payment challenges. And we believe that excellent work starts with a team that feels supported, respected, and empowered to grow.

Card Works Servicing, LLC provides end-to end operational servicing functions for credit cards, secured cards, and installment loans. We service consumer and small business loans across the credit spectrum and offers backup servicing and due diligence services to capital providers and trustees.

Founded in 1997, Merrick Bank is an FDIC-insured financial institution headquartered in South Jordan, Utah, with over $10 billion in assets. A wholly owned subsidiary of Card Works Financial Group, Merrick Bank serves roughly five million card members and more than 100,000 merchant customers, offering credit cards, recreational loans, deposit accounts, merchant services and bank sponsor ships to consumers and businesses.

Carson Smithfield, LLC provides a variety of post-charge-off debt recovery services, including digital self-service, IVR, live agent, and external agency management.

Position Summary:

Our Compliance organization is forward-thinking, embracing efficiency and modernization rather than relying solely on traditional regulatory approaches. Our culture is rooted in teamwork, transparency, and open collaboration—where your voice is  this role you will support our overall Compliance Management System activities of Merrick Bank (the “Bank”) by designing, operating, monitoring, and continuously improving the framework that ensures the bank complies with applicable laws, regulations, and internal standards.

The Analyst II operates with limited supervision, independently executes compliance testing and risk assessments, leads components of the Compliance Management System (CMS), and serves as a primary compliance contact for assigned products, processes, or initiatives. The role requires structured thinking, comfort navigating ambiguity, and sound risk judgment. This position emphasizes analytical problem-solving and contributes to program design, risk identification, and continuous improvement, not solely execution.

Essential Functions:

Execute and enhance components of the Bank’s Compliance Management System (CMS), including development and refinement of the overall compliance oversight program.

Develop and maintain comprehensive testing plans for compliance related risks throughout the Bank, including designing key risk indicators and metrics associated with all risks with compliance impact, including cross-functional processes with compliance impact.

Independently design and conduct third party compliance testing and monitoring activities, develop formal written reports of findings, and present results and risk implications to compliance leadership.

Evaluate ongoing oversight effectiveness. Revise and/or customize oversight processes based on the identification of process weaknesses, gaps, regulatory changes, changes to internal processes, or audit/examination findings.

Lead and support multiple projects simultaneously, track project progress, and report milestone and potential risks with recommended resolutions.…
Position Requirements
10+ Years work experience
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