ABOUT US
Here at MVB, our company culture defines the environment in which Team Members thrive. Our culture impacts a wide range of elements, including our purpose, values, expectations and goals that support growth and engagement – it is the secret sauce of our organization!
Our values live at the core of all that we do – Trust, Commitment, Teamwork, Adaptive, Respect, Love and Caring are our foundation for success. We are committed to fostering an environment focused on diversity, equity and inclusion, and we welcome Team Members from all walks of life. Join Team MVB today!
MVB Financial Corp. (“MVB Financial” or “MVB”), the innovative financial holding company of MVB Bank, Inc., is publicly traded on The Nasdaq Capital Market® under the ticker “MVBF.” Through its subsidiary, MVB Bank, Inc., (“MVB Bank”) and the bank’s subsidiaries, MVB provides services to individuals and corporate clients in the Mid-Atlantic region, as well as to Fintech, Payment and Gaming clients throughout the United States. For more information about MVB, please visit www.mvbbanking.com.
This role can be based remotely.
Candidates must reside in one of the following states: West Virginia, Virginia, Texas, Florida, Ohio, Pennsylvania, Maryland, Washington D.C., New York, New Jersey, Arkansas, Alabama, Arizona, Delaware, Indiana, North Carolina, Georgia, or South Dakota.
ABOUT THE ROLE
The Compliance Director is responsible for overseeing consumer regulatory testing and monitoring activities within our banking processes. This role will support the compliance programs for both core retail banking, as well as our FinTech business partners. This position is responsible for overseeing and directing a team of compliance testing professionals, fostering collaboration and ensuring alignment with organizational goals. The role requires strong leadership skills to guide the team in regulatory compliance initiatives and to support continuous professional development. The successful candidate will serve as a mentor and resource to team members, promoting an environment of accountability, innovation, and mutual respect.
WHAT YOU’LL DO
Lead regulatory compliance risk assessment process. Build and maintain a risk-based regulatory compliance testing/monitoring schedule and update the plan/testing strategy as warranted by regulatory or business changes. Lead a team of compliance testing professionals in planning, executing and reporting the results of regulation-based consumer compliance testing, ensuring compliance testing activities are performed consistently and at a high level of quality. Review testing results and create reports to properly communicate testing outcomes and risk profiles to management. Provide guidance to staff regarding complex compliance issues. Evaluate team member performance through quality assurance reviews, performance evaluations and coaching. Foster a positive work environment focused on developing individual team member skills through learning and growth opportunities. Partner with other Compliance, Legal and Line of Business stakeholders in developing recommendations to enhancements to compliance controls. Maintain a current knowledge of applicable laws, regulations and regulatory expectations (including industry enforcement actions and emerging risks). Manage all logistical aspects of the testing process, including budgeting/scheduling, planning/scoping, executing, and reporting. It also includes coordinating activities with others involved in compliance assurance activities, including Compliance Advisory Operations, Internal Audit, Legal and others across the organization. Perform validation testing on issues to ensure they have been fully addressed. Provide reports to leadership on overall testing results and trends. Provide periodic status reporting to the various Management and Board level governance committees. Manage the tracking and reporting of compliance issues. Assist in researching compliance requirements that may arise during the compliance testing process. Support and participate in regulatory exams, internal audits and internal compliance testing.EDUCATION & WORK EXPERIENCE
8+ years of consumer compliance, audit or regulatory exam support experience, with specific experience overseeing and performing compliance monitoring and testing activities. Strong attention to detail. Strong working knowledge of consumer compliance laws and regulations. Strong ability to manage multiple compliance reviews and projects at the same time and meet timely deadlines. Strong written and verbal communication skills. Ability to work independently. Bachelor’s degree and/or commensurate work experience. Compliance certification, such as a CRCM, preferred. Must be comfortable working with people at varying levels of skill and authority. Demonstrated commitment to service, organization values, and professionalism through appropriate conduct and demeanor always.BENEFITS AT MVB
MVB Financial Corp., (“MVB”) offers an excellent selection of benefits for regular, part-time and full-time Team Members, including:
Medical, Dental and Vision Insurance Health Savings Account (HSA), Health Reimbursement Account (HRA) & Flexible Spending Accounts (FSA) Short- and Long-Term Disability Plan Group Life Insurance 401K Salary Deferral Plan Wellness Program Education & Tuition Expense Reimbursement PTO and Unique Vacation Purchase Program Nationwide Pet Insurance Coverage#LI-Remote