Compliance Analyst
Stock Yards Bank & Trust · Louisville, Kentucky, US
Stock Yards Bancorp, Inc. (NASDAQ: SYBT), parent company of Stock Yards Bank & Trust Company, with offices in Louisville, Central, Eastern and Northern Kentu...
Job description
Stock Yards Bancorp, Inc. (NASDAQ: SYBT), parent company of Stock Yards Bank & Trust Company, with offices in Louisville, Central, Eastern and Northern Kentucky, as well as the Indianapolis, Indiana and Cincinnati, Ohio metropolitan markets. Job Title: Compliance Analyst I: FLSA Status: Exempt Department: Compliance Hours of Operation: Monday – Friday, 8:00 – 5:00 General Job Summary: Compliance Analyst supports the second line of defense by executing monitoring and testing activities across mortgage originations, servicing, and other consumer compliance areas. Analysts apply structured procedures and test scripts to assess adherence to regulatory requirements, investor guidelines, and internal controls. Depending on level (I, II, III), the Analyst may also assist in the development of new testing procedures, lead workstreams, or design test methodologies from time to time. The role operates with implied compliance authority to identify, document, and escalate findings in accordance with established protocols and contributes to the continuous improvement of the bank’s compliance management system. In addition, the Compliance Analyst will provide support for other activities through...