Senior Compliance Analyst
Company: California Coast Credit
Location: San Diego
Posted on: April 1, 2026
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Job Description:
The Senior Compliance Analyst supports California Coast Credit
Union’s (CCCU) Compliance Management System (CMS) by conducing
regulatory research, monitoring, documentation updates, and
compliance analysis. Ensures adherence to applicable federal and
state laws and regulations, across consumer compliance, Bank
Secrecy Act (BSA)/Anti-Money Laundering (AML), privacy, lending,
operations, marketing, and emerging regulatory expectations. The
Senior Compliance Analyst is a seasoned compliance professional who
works across all areas of the CMS, supports internal partners, and
contributes to examinations, assessments, issue remediation,
training, and risk?based reviews. This role provides guidance,
drafts and revises documentation, and supports implementation of
new or changed regulatory requirements. DIMENSIONS (the depth and
breadth of the job in numeric or statistical terms) : • CMS
Support: Performs core responsibilities across the credit union’s
CMS, including regulatory change support, policy/procedure updates,
monitoring, training assistance, and complaint handling. •
Monitoring and Reviews: Supports risk based compliance monitoring
and targeted reviews across operational, lending, marketing, and
member facing functions. • Compliance Support: Provides timely,
accurate compliance guidance to internal partners through the
compliance help desk and contributes to issue resolution and
documentation. NATURE & SCOPE: The Senior Compliance Analyst works
under the direction of the Compliance Director and AVP, Compliance
& Legal to support CCCU’s CMS. The role provides regulatory
analysis, documentation support, monitoring, and cross departmental
compliance guidance to ensure CCCU meets all applicable federal and
state regulatory requirements. Regulatory Change Management •
Tracks, analyzes, and documents regulatory changes issued by NCUA,
CFPB, FinCEN, OFAC, DFPI, and applicable state laws. • Maintains
regulatory change logs and coordinates with business units to
ensure timely implementation of new or amended requirements. •
Summarizes regulatory developments and identifies operational
impacts to products, services, and internal processes. Policies,
Procedures & Documentation • Drafts, updates, and maintains
compliance related documentation, including policies, procedures,
disclosures, forms, marketing materials, and training content. •
Ensures documentation aligns with current regulatory expectations
and internal standards. • Maintains organized records of historical
and current compliance materials. Monitoring & Reviews • Conducts
or supports a minimum of six (6) risk based compliance reviews per
year, focusing on the highest risk areas identified through the
Enterprise Risk Assessment. • Performs review planning, testing,
fieldwork, documentation, and reporting under the direction of
management. • Evaluates compliance with laws, regulations, and
internal standards; drafts findings; and assists with remediation
follow up and issue tracking. Complaint Management & Member Facing
Oversight • Supports management of the complaint program, ensuring
complaints are logged, tracked, analyzed, and elevated
appropriately. • Conducts UDAAP assessments and reviews of member
facing materials to ensure regulatory accuracy and fairness. •
Provides timely, accurate compliance guidance to business partners
through the compliance help desk. Audit & Examination Support •
Supports preparation for internal and external audits and
regulatory examinations. • Coordinates information requests,
gathers documentation from business units, and assists with
remediation activities related to compliance findings. • Maintains
CMS documentation to ensure exam readiness at all times. BSA/AML &
OFAC Support • Supports BSA operations including CTRs, SARs, Elder
Financial Exploitation reviews, Beneficial Ownership requirements,
OFAC screening, Monetary Instrument Logs (MIL), and 314(a)/314(b)
processes. • Utilizes Verafin or similar AML software to support
monitoring, investigations, and reporting. Cross Functional
Compliance Guidance • Provides clear, well researched compliance
interpretations to business units. • Assists operational, lending,
marketing, and branch staff in resolving compliance issues and
understanding regulatory requirements. Additional Responsibilities
• Supports development and delivery of compliance training. •
Contributes to departmental budget preparation. • Performs other
duties as assigned by management. EDUCATION, SKILLS, & ABILITIES •
Bachelor’s degree in Business, Finance, or related fields. •
Preferred industry certifications such as Certified Anti-Money
Laundering Specialist or similar certifications from reputable
government recognized industry organizations. • Minimum 7 years
recent, directly relevant financial?institution compliance
experience (consumer compliance, BSA/AML, OFAC, operations,
lending, privacy). • Proficiency in Verafin software or similar AML
software is required. • Experience in project management and
working with auditors and examiners. • Strong analytical,
communication (oral and written), and personal computer skills.
Ability to gather, compile and present data in a clear and logical
manner. • Must be organized and detail oriented to work
efficiently. • Must demonstrate the capability to identify the
implications of new and revised laws and regulations to the
company. • Ability to follow directions from a supervisor,
interacts effectively with co-workers, follow work rules and work
independently. • Must have sound writing and grammar proficiency,
present numerical data effectively and ability to edit own work for
spelling and grammar. • Strong computer skills with Microsoft
Office. Symitar experience preferred. • Strong organizational
skills, attention to detail and the ability to handle multiple
simultaneous projects are required. • Operates with independence of
judgment and escalates issues consistent with regulatory
expectations. MAJOR ACCOUNTABILITIES • Ensure compliance with all
applicable laws, regulations, and internal standards. • Support
monitoring and implementation of regulatory changes. • Contribute
to CMS enhancements and training program development. • Maintain
accurate BSA/AML reporting and compliance controls. • Provide
exceptional internal service to business unit partners. PHYSICAL
REQUIREMENTS • Ability to tolerate periods of continuous sitting.
ENVIRONMENTAL CONDITIONS • Work is primarily performed within a
cubicle office setting. Subject to standard background noise found
in an office environment. Note: Staff is expected to perform
various tasks, projects and administrative duties as assigned.
Management reserves the right to assign or change duties and tasks
to this position at their discretion. Salary Range (Annually):
$98,827.4160 - $123,534.2700
Keywords: California Coast Credit, Orange , Senior Compliance Analyst, Accounting, Auditing , San Diego, California