Client is seeking a qualified Compliance Analyst. Compliance is responsible for providing an independent, objective assurance and consulting activity designed to add value and improve bank operations. Compliance’s purpose is to help management accomplish its objectives by bringing a systematic, disciplined approach to evaluate and improve the effectiveness of regulatory, control, and governance processes. Compliance is responsible for the timely execution of risk based reviews in accordance with the annual approved program, as well as assisting with other regulatory matters and projects. Compliance will provide management including the Audit Committee and Board with information, advice and recommendations on risks and opportunities. The position services primarily internal customers in a confidential, professional and ethical manner.