Chief Compliance Officer
$176.97k - $303.37kEagleBank
Overview We are a values driven organization putting Relationships FIRST. EagleBank (NASDAQ – EGBN) is focused on being Flexible, Involved, Responsive, Strong, and Trusted. By prioritizing meaningful connections with our customers, employees, and shareholders, we relentlessly deliver the most compelling, valuable service to our customers.EagleBank is committed to inclusion, equity, and respect. We celebrate diversity and intentionally seek out opportunities to learn from one another’s experience. We believe employees are essential to the building of relationships and we prioritize investing in employee growth and wellbeing. Employee involvement is fostered through resource groups, mentorship programs, community service, and scholarship opportunities for continued education. With features including maternity and parental leaves, wellness discounts, healthcare premium sharing, employer funding in your HSA account, and 100% 401(k) matching up to 4%, we pride ourselves in the ways we support our internal relationships. The minimum and maximum projected annualized salary for this position is: $176,966.00 to $303,371.00. Additional compensation may be possible based on experience and skills.We understand the need to be creative and flexible when it comes to telecommuting and other alternative work arrangements. This position is eligible for our hybrid remote work and will work in the Bethesda, MDoffice four days per week. Responsibilities Reporting to the Chief Risk Officer, the Chief Compliance Officer is a senior leadership position responsible for leading EagleBank's (the "Bank") enterprise-wide compliance program, ensuring adherence to all applicable federal and state banking regulations, consumer protection laws, and internal policies. This role provides strategic direction and oversight of compliance risk management activities across all business lines and operational units. The Chief Compliance Officer also serves as the Bank's Privacy Officer, CRA Compliance Officer, Reg O Officer and is a key member of the Ethics Office. The Chief Compliance Officer partners closely with business leaders, risk management, legal, information security, and audit functions to foster a strong culture of compliance, privacy protection, and ethical conduct throughout the organization. Note: Bank Secrecy Act/Anti-Money Laundering (BSA/AML) responsibilities are managed separately and do not fall under this role.Essential Functions include:Develop, implement, and maintain a comprehensive enterprise compliance management system that identifies, assesses, monitors, and mitigates compliance risksEstablish and maintain compliance policies, procedures, and internal controls aligned with regulatory requirements and industry best practicesOversee the compliance risk assessment process and ensure appropriate risk mitigation strategies are in placeMonitor and interpret regulatory developments and assess their impact on bank operations, products, and servicesServe as primary liaison with regulatory agencies on compliance-related matters (excluding BSA/AML)Manage regulatory examination processes, including preparation, response coordination, and remediation of findingsOversee timely and accurate regulatory reporting and filings including quarterly monitoring reports, annual HMDA and CRA filingsEnsure compliance with consumer protection regulations including UDAAP, TILA, TISA, RESPA, ECOA, FCRA, Fair Lending, and other applicable consumer lawsDesign and oversee compliance monitoring and testing programs to validate adherence to policies and regulatory requirementsDirect complaint management processes and ensure appropriate investigation and resolutionServe as a CRA Compliance Officer and provide strategic leadership and oversight of the Bank's CRA program to ensure compliance with CRA regulations and achievement of performance goalsServe as the Bank's designated Privacy Officer with overall responsibility for the privacy programServe as a key member of the Bank's Ethics Office, supporting the Ethics Officer in promoting ethical conduct and organizational integrityProvide compliance guidance and risk assessments for new products, services, and business initiativesPartner with business units to embed compliance considerations into strategic planning and operational processesReview and approve marketing materials and customer communications for regulatory compliance and privacy considerationsOversee third-party vendor compliance and privacy risk management processesConduct CRA and Fair Lending performance monitoring, including analysis of lending patterns, community development activities, and service deliveryProvide regular reporting to the Chief Risk Officer, senior management, management committees, Board committees on the following:Compliance risks, program effectiveness, and regulatory developmentsCRA performance, including lending analysis, community development activities, and progress toward strategic plan objectivesPrivacy program including privacy incidents, regulatory developments, and program enhancementsServe as a trusted advisor to senior management and the Board on compliance mattersFoster a culture of compliance awareness, privacy protection, and ethical conduct throughout the Bank Qualifications Requirements:Bachelor’s Degree in Arts/Sciences (BA/BS) Business, Finance, Law, or related field15 years of progressive compliance experience in banking or financial services5 years in a senior compliance leadership role, preferably at a regional or community bankDemonstrated expertise in CRA regulations, including developing and implementing CRA strategic plans, examination procedures and performance evaluation standardsExperience managing regulatory examinations and responding to regulatory findingsProven track record of building and leading compliance programs in a banking environmentDeep knowledge of federal and state consumer protection regulations, banking laws, and regulatory expectationsStrong understanding of privacy regulations including GLBA, CCPA/CPRA, and other applicable state and federal privacy laws, including incident response and breach notification proceduresStrong leadership and team management capabilitiesExcellent analytical and risk assessment skills, including ability to analyze lending data, demographic trends, and privacy risksSuperior written and verbal communication skills, including ability to explain complex regulatory concepts to diverse audiencesStrategic thinking with ability to balance compliance requirements with business objectives and community needsStrong interpersonal skills and ability to influence across all organizational levelsHigh integrity and ethical standards with demonstrated commitment to ethical decision-makingPreferences:Advanced Degree in business or compliance discipline relatedCertified Regulatory Compliance Manager (CRCM)Certified Community Bank Compliance Officer (CCBCO)Ability to work effectively under pressure and manage multiple prioritiesProficiency with compliance management systems, CRA/Fair Lending tracking software, and data analytics toolsSound judgment in handling sensitive and confidential informationDon't meet all the requirements? We encourage you to still apply if you think you are the right person to join our community. We are always interested connecting with people inspired by our mission and values. If you aren't hired for this position, your resume will remain available for the next year and might be considered for future openings. Note: You can update your resume as often as needed.Job SummaryID: 2026-2153Location : Address: 7500 Old Georgetown RoadPosition Type: Full Time RegularBusiness Unit Description: Risk and Compliance
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