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Regulatory Compliance Manager

The Regulatory Compliance Manager is responsible for supporting the administration and execution of the Bank’s compliance program to ensure adherence with all applicable federal and state banking laws and regulations. The Bank is a $440 million FDIC-regulated financial institution with seven Oregon branches; two additional branches in Washington are pending. The Bank offers deposit and consumer, mortgage, and commercial lending products and is subject to Community Reinvestment Act (CRA) requirements as an Intermediate Small Bank (ISB).

Working closely with the Compliance Officer who both leads the Compliance function and serves as an active contributor; this role is essential in the day-to-day execution of the Compliance Management System (CMS). The position focuses on monitoring, testing, regulatory change management, training, and advisory support.


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