SVP, Head of Regulatory Compliance
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![]() United States, Maryland, Rockville | |
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Description
About Us Capital Bank N.A. is headquartered in Maryland and has been serving our communities since 1999. We stand as a publicly traded company (NASDAQ: CBNK) with over $3 billion in assets. We offer commercial and consumer banking services to clients primarily in Maryland, DC, and Northern Virginia, alongside two nation-wide lending brands; Capital Bank Home Loans and OpenSky, a credit card division that offers and services credit cards across all states. Our personalized approach to banking, paired with cutting-edge technology solutions and a comprehensive suite of products and services, fuels our growth, and enables us to support our customers at every stage in their financial journey. Come join a bank where our employees thrive and are engaged in meaningful work. For the last 5 out of 6 years, Capital Bank was named one of the "Best Banks to Work For" in the U.S. by American Banker. Position Purpose The SVP, Head of Regulatory Compliance is Capital Bancorp, Inc. and Capital Bank, NA's ("the Company's") hands on regulatory compliance leader, strategist, and subject matter expert assessing and advising on existing and emerging regulatory compliance requirements across the Company. This role has direct oversight of the Company's Regulatory Compliance Program, including but not limited to all laws, rules, and regulations applicable to: Capital Bank, NA (including Consumer, Commercial, Capital Bank Home Loans, and OpenSky credit card divisions); Windsor Advantage, the Company's Small Business Administration ("SBA") Lender Service Provider, the Company's Fair Lending Program; and the Bank's Large Bank Community Reinvestment Act Compliance Program. This role plays an integral part in ensuring that the Company maintains a highly rated regulatory compliance program (including all applicable Federal Reserve, FDIC, OCC, the U.S. SBA, and FFIEC requirements) enabling the Company to continue to execute on its strategic growth plans. This is both a hands-on and strategic role that will assist the Company in effectively managing regulatory risk as well as serving as a credible second line of defense partner and solutionist to the first line of defense. Position Responsibilities
Minimum Education and Experience
Technical Knowledge and Skills
Compliance It is the responsibility of each bank staff member and of management to adhere to policies and procedures designed to implement compliance with the laws and regulations to which the bank is subject. Each bank staff and management member shall be accountable for understanding how compliance with laws and regulations affects the performance of their day-to-day duties, for completing compliance training as assigned and for carrying out those duties in a manner to achieve compliance with those laws and regulations. The above mentioned are intended to describe the general nature and level of work performed rather than to be an inclusive list of all duties, responsibilities and skills required for the position. Job duties may be changed at any time at management's discretion. The job description is not intended to create contractual obligations of any kind. Capital Bank, N.A. is an Affirmative Action and Equal Opportunity Employer Equal Opportunity Employer/Protected Veterans/Individuals with Disabilities
The contractor will not discharge or in any other manner discriminate against employees or applicants because they have inquired about, discussed, or disclosed their own pay or the pay of another employee or applicant. However, employees who have access to the compensation information of other employees or applicants as a part of their essential job functions cannot disclose the pay of other employees or applicants to individuals who do not otherwise have access to compensation information, unless the disclosure is (a) in response to a formal complaint or charge, (b) in furtherance of an investigation, proceeding, hearing, or action, including an investigation conducted by the employer, or (c) consistent with the contractor's legal duty to furnish information. 41 CFR 60-1.35(c)
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