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Senior Compliance Analyst #3561816
Los Angeles, CA
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Be Part Of A High-Performing Team:

Join a well-established global financial institution known for combining a long-standing culture of integrity with innovation, client focus, and strong cross-functional partnership. The organization emphasizes disciplined risk management, relationship-driven banking, and operational excellence, with continued investment across its Americas platform and digital banking capabilities. This role sits within a compliance environment that supports evolving banking operations, regulatory expectations, and control frameworks in a collaborative, fast-paced setting.

What’s In Store For You:

Engagement: W2 only (no C2C/1099)

This is a remote contract opportunity supporting a high-visibility compliance function within a regulated financial services environment. The assignment runs from March 2, 2026 through September 30, 2026 and offers the chance to contribute to meaningful compliance, audit, and risk initiatives tied to digital banking and broader operational controls. The role provides exposure to cross-functional stakeholders, policy and process enhancement work, and enterprise-level compliance priorities.

How You Will Make An Impact:

  • Review internal processes, controls, and workflows to identify compliance gaps and potential risk exposures
  • Conduct compliance assessments and audit support activities, documenting findings and recommended remediation steps
  • Monitor regulatory and policy changes and help translate them into practical updates for procedures and internal controls
  • Support investigations into compliance matters and assist in tracking corrective actions through resolution
  • Partner with internal teams to strengthen adherence to legal, regulatory, and policy requirements
  • Help prepare reports, summaries, and documentation for compliance leadership and stakeholders
  • Contribute to training and awareness efforts on compliance-related processes, standards, and expectations
  • Support a financial crimes and broader compliance environment with strong attention to confidentiality, documentation quality, and issue resolution

Are you an experienced compliance and risk professional ready to make an impact?

  • 10+ years of relevant experience in compliance, risk, internal audit, or regulatory oversight within a regulated environment
  • Strong knowledge of compliance frameworks and regulatory standards, including exposure to areas such as SOX, GDPR, HIPAA, or comparable control environments
  • Experience performing risk assessments, control reviews, audit support, and compliance reporting
  • Ability to interpret regulatory changes and help update policies, procedures, and process documentation
  • Strong analytical, research, and written communication skills
  • Proficiency with Microsoft Office and compliance or case management tools
  • High level of discretion with sensitive and confidential information
  • Detail-oriented, organized, and able to work independently in a remote setting
  • Financial services or banking compliance experience is strongly preferred
  • Experience supporting financial crimes compliance, digital banking, or enterprise compliance programs is a plus
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