Compliance Officer I — Regulatory Risk & Audits (Cincinnati)
Fifth Third Bank, N.A. seeks a Compliance Officer I – Licensed for Fifth Third Securities in Cincinnati, Ohio. This role involves assessing compliance with regulatory requirements, enhancing controls, and conducting analyses of policies. Candidates must have a Bachelor's degree, 5 years of relevant experience, and necessary FINRA licenses including Series 7, 66, and 24. Compensation ranges from $71,100 to $145,900 annually, with comprehensive benefits available.
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