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Compliance Manager, Finance & Banking

Job in Tempe, Maricopa County, Arizona, 85285, USA
Listing for: Cenlar Capital Corporation
Full Time position
Listed on 2026-01-12
Job specializations:
  • Finance & Banking
    Financial Compliance, Risk Manager/Analyst
Salary/Wage Range or Industry Benchmark: 60000 - 80000 USD Yearly USD 60000.00 80000.00 YEAR
Job Description & How to Apply Below

Ewing, 425 Phillips Blvd, Ewing, New Jersey, United States of America •

Yardley, 780 Township Line Rd, Yardley, Pennsylvania, United States of America •

Tempe, 8160 S. Hardy Drive, Tempe, Arizona, United States of America

Job Description

Posted Monday, December 15, 2025 at 5:00 AM

Cenlar is the nation’s leading mortgage loan subservicer. Our unique culture is defined by our core values of respect, trust, integrity and care. A promote-from-within philosophy, and opportunities for continuous professional growth make Cenlar a great place to launch or boost your career.

Location Requirement:
Yardley, PA, Ewing, NJ or Tempe, AZ (Cenlar Offices)
Please note that this position is based at one of our
Cenlar locations
. The role requires on-site presence for 4 days per week
. When applying, kindly ensure that you are local to this site
and/or able to commute reliably.

The Compliance Manager serves a pivotal role to ensure Cenlar’s mortgage servicing operations adheres to all regulations. This position is responsible for providing compliance advisory services by conducting independent basic and advanced research and analysis as it pertains to our compliance environment. This role provides both strategic and tactical compliance support to the First Line of Defense and sits within the Second Line of Defense.

The Compliance Manager will independently produce compliance risk assessments, perform credible challenge, and build plus conduct monitoring/testing. The Compliance Manager will demonstrate autonomy to proactively and collaboratively support their assigned areas within Operations by continuously consulting and solving complex regulatory problems in active partnership with the first line of defense.

Responsibilities

Compliance Management & Advisory

  • Provides strategic and tactical compliance support to the Compliance environment for performing loans or default servicing
  • Maintains a thorough understanding of federal and state regulations related to mortgage servicing, mortgage lending, including FHA, VA, USDA, and GSE guidelines
  • Conducts independent and basic research and analysis as it pertains to the compliance environment
  • Answers day-to-day consumer compliance related requests and questions, timely and accurately.
  • Partners closely with the Business Control team to review and oversee escalated regulatory (federal, state, GSE, and Insurer) issues, ensuring that root cause analysis is accurately performed, a remediation plan is approved with a defined date for implementation, is implemented, tested and validated and a determination of whether additional action is required to be taken (i.e. lookback, etc., working in connection with Legal) or made
  • Reviews and approves changes in consumer compliance related policies and procedures
  • Reviews and approves changes to job specific and enterprise-wide compliance training and reviews and implements enterprise wide and job specific training in accordance with the approved, established schedule
  • Reviews and approves changes to borrower communications
  • Periodically reviews compliance specific tables to update information in MSP
  • Supports Third Party Risk Management and Attorney Governance Committees
  • Provides compliance expertise on enterprise approved projects
Regulatory Change Management
  • Supports the regulatory change process by determining the impact of regulatory changes and assists the business operations teams with implementing regulatory changes within the effective date time frames.
  • Reviews results of QC testing for 90 days to ensure change was implemented effectively
  • Proactively performs with minimal direction the annual review and update of the Compliance Risk Assessments.
  • Identifies, documents, and measures regulatory risks that align to the relevant functional aspects of the operations.
  • Performs surveillance over key operational and risk reports, including complaint management that details noncompliance or the risk of noncompliance; performs analysis for red flags to perform deeper dives or analysis to detect potential systemic issues
  • Reviews enforcement actions, regulatory bulletins, and supervisory announcements to identify emerging regulatory risks, and advises other internal…
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