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Perform ongoing compliance monitoring and due diligence across mortgage loan processes, ensuring adherence to federal and state regulations. This role involves conducting compliance reviews, analyzing regulatory changes, and collaborating with various teams to resolve compliance issues.
Responsibilities
- Perform ongoing compliance monitoring, testing, and due diligence across mortgage loan processes
- Ensure adherence to federal and state regulations including TRID, RESPA, HMDA, MDIA, and QM
- Conduct pre- and post-close compliance reviews to identify regulatory gaps and risks
- Analyze regulatory changes and translate them into actionable compliance requirements
- Prepare compliance findings, reports, and remediation plans for management and audit teams
- Support internal and external regulatory exams, audits, and reviews
- Collaborate with legal, operations, risk, and quality assurance teams to resolve compliance issues
- Assist in the development and maintenance of policies, procedures, and compliance controls
- Track corrective action plans and ensure timely resolution
Requirements
- Experience as a Compliance Analyst in mortgage, lending, or financial services
- Strong working knowledge of TRID (TILA-RESPA Integrated Disclosure), RESPA, HMDA, MDIA, and Qualified Mortgage (QM) rules
- Experience performing compliance due diligence and risk assessments
- Familiarity with CFPB, state, and federal regulatory frameworks
- Strong analytical, documentation, and reporting skills
Qualifications
- Experience as a Compliance Analyst in mortgage, lending, or financial services