Compliance Analyst, Banking Operations
Vancity ‚Ä¢ Vancouver, Canada ‚Ä¢ Full Time ‚Ä¢ $56,610–$73,260 / year
Posted on Thu, Aug 6, 2026
Our Story & Purpose:
We’re Vancity, a member-owned credit union built on the principles of inclusion and social justice. Since 1946, our relentless commitment to these values has helped us challenge the status quo and break down barriers. We’ve made bold commitments to become net-zero by 2040 across all mortgages and loans, and we’re actively pursuing strategies in Indigenous banking and financial resilience for our members.
As the largest private sector Living Wage Employer in Canada, we’re proud to be consistently recognized as one of the country’s Top Employers. If you’re ready to join our team of 2,300 diverse individuals, access competitive rewards and benefits, and be part of a greater movement - apply today!
Your Role in Supporting Our Members:
As a Compliance Analyst, Bank Operations, you will provide advice and guidance on regulatory requirements, operational policies, and compliance processes to help reduce organizational risk while supporting adherence to Vancity’s compliance framework. You will conduct regulatory and policy reviews, assess compliance risks, identify process improvements, and collaborate with business units to develop action plans that strengthen operational effectiveness. We are seeking a collaborative compliance professional with strong analytical skills, risk management expertise, and the ability to build trusted relationships across the organization.
This is a Full-time, Temporary role based at our Vancity head office and will report directly to the Team Manager, Bank Operations Compliance. While this position provides a hybrid work arrangement, you will be expected to be on-site for events and business demands.
How You'll Make an Impact:
- Assessing business unit adherence to regulatory requirements, internal policies, and operational procedures
- Conducting compliance reviews, documenting findings, and identifying opportunities for process improvement
- Performing gap analyses and recommending enhancements to policy controls and compliance practices
- Utilizing compliance reporting to support the development and monitoring of business unit action plans
- Providing compliance and policy expertise to managers and business partners while resolving escalated inquiries
- Supporting organizational projects and initiatives by providing recommendations on operational policies and process enhancements
- Participating in the testing, optimization, and implementation of new or enhanced systems and processes
- Acting as a senior resource by providing peer mentorship, guidance, and training to support effective business solutions
What You’ll Bring to the Team:
- Bachelor’s degree in Business, Risk Management, Commerce, Finance, Law, or a related field, or an equivalent combination of education and experience
- Minimum 3-5 years of experience in compliance, risk management, audit, banking operations, or a related financial services environment
- Experience interpreting and applying regulatory requirements, policies, and operational procedures
- Strong analytical and problem-solving skills with the ability to conduct reviews, investigations, and gap analyses
- Experience developing recommendations and action plans to address compliance risks and operational issues
- Demonstrated ability to build relationships and provide trusted advice to business stakeholders
- Strong written and verbal communication skills with the ability to explain complex concepts clearly
- Knowledge of compliance frameworks, risk management practices, and internal control environments
Extra Skills That Set You Apart:
- Experience within the financial services, credit union, or banking industry
- Professional certification such as CRCM, CAMS, CIA, CRMP, or a related designation
- Experience supporting compliance-related projects, system implementations, or process transformation initiatives
You Are:
- Analytical – You can assess information, identify risks, and make thoughtful recommendations that support business objectives
- Detail-Oriented – You maintain a high level of accuracy when reviewing regulations, policies, and operational processes
- Collaborative – You build strong partnerships and work effectively across teams to achieve compliance outcomes
- Trusted Advisor – You provide sound guidance and practical solutions that help stakeholders navigate risk and regulatory requirements
- Continuous Improvement Focused – You proactively identify opportunities to enhance processes, controls, and operational effectiveness
We value lived experience, so if you are interested in this role, we encourage you to apply even if you feel your skills don't perfectly align with those listed.
What You’ll Earn:
This role offers a salary range of $76,500 to $99,000 per annum. The base pay offered may vary depending on factors such as relevant qualifications, skills, previous experience, and internal equity. As part of our total rewards package, employees may also be eligible for our annual incentive program, subject to program eligibility requirements.
Why You’ll Love Working Here:
A career at Vancity is more than just a job, you’re joining a tradition of change-makers who are creating lasting change for our communities. Beyond base pay, we offer a comprehensive total rewards package to ensure our employees are empowered to thrive:
- Living Wage Employer: We’re the largest private-sector Living Wage Employer in Canada and consistently ranked among Canada’s Top Employers
- Customizable Benefits: Permanent employees receive flexible benefit packages that can be tailored annually to meet evolving needs
- Generous Vacation: New employees start with 3-4 weeks of vacation per year, with additional days earned over time
- Extra Stat Holidays: In addition to BC’s 11 statutory holidays, we offer 2 extra days, plus care days for personal or family illness
- Immediate Health Coverage: Health and dental benefits begin on your hire date, with three levels of coverage to choose from
- Defined Benefit Pension: Our retirement plan provides a guaranteed income for life, recognizing that retirement looks different for everyone
Vancity Talent Programs:
Vancity supports an inclusive hiring process for candidates who self-identify as Indigenous, Black, or Trans. With special permission from the BC Human Rights Commissioner, this initiative provides access to career development opportunities, prioritized job screening, and feedback. Any information you choose to share will be stored securely and used only for recruitment and career development connected to this initiative, in line with the BC Personal Information Protection Act (PIPA). For details, please see our dedicated Talent Programs job posting.
At Vancity we’re committed to creating a welcoming and inclusive workplace to help our people and communities thrive and prosper. Diversity in our workforce is integral so that we can truly represent, understand and respond to our community needs and deliver on our member experience.
We are also committed to an inclusive, barrier-free and accessible recruitment experience for all candidates. If you require any accommodations or support at any stage of the recruitment process (including the application stage), we encourage you to let us know. We’re here to work with you to ensure your needs are met promptly and effectively. All requests will be handled with the utmost respect and confidentiality, so you can participate fully in the process.
More live compliance_analyst roles
- Bilingual Compliance Analyst at Robertson, Anschutz, Schneid, Crane & Partners — Plantation, Florida, United States
- Senior Compliance Analyst at Allspring Global Investments Holdings — Milwaukee, Wisconsin, United States
- QC Due Diligence Compliance Analyst at AmeriHome Mortgage — Westlake Village, California, United States
- Regulatory Compliance Analyst at Devon Energy — Pittsburgh, Pennsylvania, US
- Merchant Risk & Compliance Analyst at Axiom Bank — Maitland, Florida, United States
- Construction Compliance Analyst at Consertus-US — Austin, Texas, United States
- Customs Compliance Analyst at Customs Broker, Freight Forwarding & Trade Compliance Services (Remote)
- Credentialing Compliance Analyst — Atlantic City, New Jersey, United States
- Onboarding & Compliance Analyst at Acento Real Estate Partners — United States
- Global Trade Compliance Analyst at 1X — Hayward, California, United States
- Compliance Analyst (NYC) - Agency Applicants at Five Rings — New York, New York, United States
- Compliance Analyst at Focus Partners Wealth — Saint Louis, United States
- Compliance Analyst at NRP Group — San Antonio, Texas, United States
- Compliance Analyst at SmartBank — Chattanooga, Tennessee, United States
- Compliance Analyst Sr - Operations and Planning at Electric Reliability Council of Texas — Taylor, TX, United States
- Compliance Analyst at Atmos Energy Corporation — Dallas, Texas, United States
- Senior Compliance Analyst at JM Family — Deerfield Beach, FL, US
- Compliance Analyst Graduate Program at Barclays Services Corpor — New York, NY, United States
- Compliance Analyst at Imperative Logistics Group — Laredo, TX, United States
- Senior Risk and Compliance Analyst at Constellation Brands — Rochester, NY, US
- Compliance Analyst at Rimini Street (Remote)
- Advertising Compliance Analyst at EPC Eneric Petroleum (Remote)
- CLIA Compliance Analyst II at Chenega Corp (Remote)
- Compliance Analyst at University of Richmond (Remote)
- Pharmacy Centralized Trainer Compliance Analyst (Program Technician 2) at Oregon Health & Science University — Portland, Oregon, United States
- Compliance Analyst Intern at Dolby (Remote)
- Sr SOX Compliance Analyst OR SOX Compliance Consultant at Xcel Energy — Minneapolis, MN, United States
- Trust and Compliance Analyst at First Advantage (Remote)
- Compliance Analyst at Primerica — Georgia, United States
- Security Compliance Analyst at ACM Medical Labs (Remote)
- Senior Crypto Compliance Analyst at Corpay — Toronto, ON, Canada
- Compliance Analyst - AML at Cetera Financial Group — Dallas, TX, United States
- Compliance Analyst - State National at Markel — Bedford, Texas, United States
- Regulatory Compliance Analyst at Lightsource bp — United States
- Compliance Analyst at Texas ESC Region 16 — Amarillo, TX, US
- Compliance Analyst at Symbotic (Remote)
- Compliance Analyst, Banking Operations at Vancity — Vancouver, British Columbia, Canada
- Compliance Analyst at Life Care Services — Des Moines, Iowa, United States
- Sr IT SOX Compliance Analyst at Atlas Energy Solutions — Austin, Texas, United States
- Senior Security Compliance Analyst at Centene Management Company (Remote)
- Export Compliance Analyst at Smith — Houston, Texas, United States
- Governance, Risk & Compliance Analyst I at Duquesne Light Company — Pittsburgh, Pennsylvania, United States
- Compliance Analyst - ABC at Gunvor Group — Houston, Texas, United States
- Research Financial Compliance Analyst – FACO at The Pennsylvania State University (Remote)
- Compliance Analyst at Intercontinental Exchange Holdings — Jacksonville, Florida, United States
- Senior Risk and Compliance Analyst at Highmark Health — Buffalo, New York, US
- Regulatory & Environmental Compliance Analyst at Suterra — Bend, OR, US
- International Trade Compliance Analyst - Level 2 or 3 at Northrop Grumman — Redondo Beach, California, United States
- GRC Compliance Analyst (ISSO) at Associates Systems — Metairie, Louisiana, United States
- IT Security Compliance Analyst at Stafford Gray — Lansing, Michigan, United States
- Portfolio Compliance Analyst (HYBRID) at EQH — New York, New York, United States
- Lead Compliance Analyst - Advisory at Transamerica — Cedar Rapids, Iowa, United States