Compliance&Financial Analyst
Description

The Compliance & Financial Analyst plays a critical role in supporting Pinnacle Bank's financial stability, regulatory compliance, and operational integrity. This position combines financial analysis, accounting responsibilities, risk management, regulatory reporting, and compliance oversight. The analyst works closely with management, regulators, auditors, and various departments to ensure accurate financial reporting, effective risk management, and adherence to applicable banking laws, regulations, policies, and ethical standards.


Primary Responsibilities

Financial Analysis & Accounting

  1. Balance General Ledger accounts daily and monthly.
  2. Manage Accounts Payable and ARP.
  3. Prepare journal entries for investment transactions, reconcile investment accounts monthly, and complete month-end entries.
  4. Prepare and submit the FR2644 Report to the Federal Reserve on a weekly basis.
  5. Manage prepaid, accrued expense, and fixed asset accounting systems.
  6. Assist with quarterly Call Report preparation and submission, ensuring accuracy and compliance with regulatory requirements.
  7. Develop, maintain, and analyze financial models, including:
  • Income statements
  • Balance sheets
  • Cash flow projections
  • Profitability analysis
  • Investment performance analysis
  • Sensitivity and scenario testing
  1. Monitor financial performance, identify trends, and provide recommendations to support strategic decision-making.
  2. Assist with other accounting and financial reporting functions as assigned.

Compliance & Regulatory Oversight

  1. Assist the Compliance Officer/Internal Auditor in administering and maintaining the Bank's compliance and integrity program.
  2. Support oversight of compliance with applicable banking laws, regulations, internal policies, and ethical standards.
  3. Assist with identifying, assessing, and monitoring compliance risks throughout the organization.
  4. Help ensure appropriate policies, procedures, internal controls, and codes of conduct are implemented and maintained.
  5. Participate in compliance reviews, audits, examinations, monitoring activities, and risk assessments.
  6. Assist with audit and examination tracking, including monitoring corrective actions and follow-up activities.
  7. Coordinate with departments including:
  • Legal
  • Internal Audit
  • Human Resources
  • Information Technology
  • Operations
  • Security

to support compliance initiatives and regulatory requirements.

  1. Assist in preparing compliance-related reports for executive management and the Board of Directors.
  2. Participate in committees and working groups responsible for implementing compliance and risk management initiatives.
  3. Support monitoring and auditing processes designed to evaluate:
  • Compliance program effectiveness
  • Regulatory compliance
  • Internal control effectiveness
  • Ethical business practices
  1. Assist in investigating compliance concerns and ensuring identified issues are addressed promptly and effectively.
  2. Handle Bank Secrecy Act monitoring.
  3. Handle Bank Security monitoring.
  4. Maintain confidentiality and handle sensitive information in a professional manner.
  5. Perform additional duties and special projects as assigned.



Requirements

Required Skills & Competencies

  • Thorough knowledge of banking accounting principles, regulations, policies, and procedures.
  • Strong analytical, organizational, and problem-solving skills.
  • Excellent attention to detail and accuracy.
  • Effective verbal and written communication skills.
  • Strong time management and project coordination abilities.
  • Ability to analyze complex financial and regulatory information.
  • Proficiency in Microsoft Office applications, including advanced Excel, Word, and bank software systems.
  • Ability to work independently and collaboratively across departments.
  • Commitment to maintaining confidentiality and professional ethics.

Education & Experience

Preferred Qualifications

  • Bachelor's Degree in Finance, Accounting, Business Administration, Economics, or a related field; and/or
  • Three (3) years of experience in banking, financial analysis, accounting, compliance, internal audit, risk management, or a related field.

Position Information

Location: Jasper, Alabama (Main Office)

Status: Full-Time, Non-Exempt

Work Arrangement: On-Site (Non-Remote)