This position serves as a primary compliance liaison with regulatory agencies and internal audit, supports regulatory examinations and audit activities, and presents compliance program updates, risks, challenges, and remediation progress to executive leadership, the Board of Directors, and applicable committees. This role provides strategic oversight of the Bank’s compliance management system, including regulatory compliance, BSA/AML oversight, fair lending, consumer compliance, risk assessments, monitoring and testing, compliance training, issue management, regulatory change management, and board and committee reporting.