SB
Stockman Bank of Montana
Billings, MT
Sep 16, 2026
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Position General Responsibilities: The Compliance Officer supports the firm's compliance program and assists in maintaining adherence to SEC Registered Investment Adviser requirements. This position executes, monitors, documents, and reports recurring daily, weekly, monthly, quarterly, and annual compliance activities. Works closely with the Chief Compliance Officer, Chief Operating Officer, and Operations Team to support regulatory compliance, operational processes, risk management initiatives, examinations, and internal reviews. Employees Supervised: None. Education, Experience and Certification Requirements Note: Only minimum responsibilities are listed. Other responsibilities may be required as requested by management. Minimum Qualifications: 1. Strong commitment to providing exceptional customer service. 2. Four-year college level course study/degree. 3. Two to five years of compliance, operations, audit, risk management, banking,...
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