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FC
First Cash, Inc.
Risk & Compliance Analyst
Career Insights for Compliance Officer / Analyst
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Based on Texas data
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What they do
A Compliance Officer or Analyst monitors internal compliance with company policies and also company compliance with local, state and federal laws. Reviews company documents, including contracts and marketing materials; communicates with employees and develops training and internal policy materials.
$71,465 / year median in Texas
+6% projected growth
Job Description
Risk & Compliance Analyst First Cash, Inc. - 3.4 Coppell, TX Job Details 20 hours ago Qualifications Optimizing workflow processes Risk management compliance audits Internal controls Microsoft Excel Investigations regulatory compliance Defect resolution root cause analysis Process audits Legal analysis Bachelor's degree in finance Bachelor's degree in business Legal risk management Word embeddings Complaint handling Mid-level Legal Studies Finance Regulatory legal research Change management Vendor compliance audits Analysis skills Bachelor's degree Continuous improvement Compliance documentation Internal compliance assessments Bachelor's degree in legal studies Productivity software Investigating compliance violations Root cause analysis 4 years Cross-functional collaboration Full Job Description Description Risk & Compliance Analyst AFF Compliance is seeking a highly motivated Risk & Compliance Analyst to support and enhance our compliance program in alignment with AFF's risk appetite and regulatory obligations. This role plays a critical part in ensuring adherence to applicable laws and regulations, providing risk-based guidance to business partners, and helping strengthen AFF's overall control environment. The ideal candidate is a proactive problem solver who can work independently while collaborating effectively across functions. This position will partner closely with teams across Legal, Operations, Business Risk, and senior leadership to identify emerging risks, drive process improvements, and contribute to the continued evolution of the compliance program. The role reports directly to the Regulatory Compliance Lead . Key Responsibilities Support and execute Second Line of Defense (SLOD) oversight activities, including Compliance Management System (CMS) administration, issue management, complaint management, regulatory change management, and third-party/vendor risk oversight. Conduct compliance testing, monitoring activities, and risk assessments to evaluate adherence to applicable laws, regulations, and internal policies. Identify, investigate, and document compliance concerns, partnering with stakeholders to perform root cause analysis and implement sustainable corrective actions. Assist with regulatory inquiries, examinations, and audits by preparing documentation, conducting independent compliance reviews, and coordinating responses and deliverables. Collaborate with business partners to strengthen policies, procedures, and controls while ensuring alignment with regulatory requirements and evolving business risks. Analyze regulatory developments and emerging risks, providing recommendations to enhance compliance processes and controls. Promote a culture of compliance, accountability, transparency, and proactive risk management throughout the organization. Support ongoing compliance program initiatives and contribute to continuous process improvement efforts. What We're Looking For Working knowledge of compliance, regulatory, legal, and operational risks, with an understanding of Second Line of Defense frameworks and practices. Experience conducting compliance testing, monitoring, risk assessments, or related assurance activities with a strong focus on quality and attention to detail. Strong analytical and critical thinking skills, with the ability to assess risk, identify issues, and develop practical solutions. Ability to effectively challenge assumptions and influence outcomes through collaborative and constructive communication. Demonstrated ownership, initiative, and a proactive approach to identifying and mitigating risk. Growth mindset with a strong interest in developing a long-term career within Risk & Compliance. Qualifications Bachelor's degree in Business, Finance, Risk Management, Legal Studies, or a related field preferred. Minimum of 4 years of experience in consumer regulatory compliance, risk management, internal audit, or a related discipline. Experience supporting Second Line of Defense functions, including compliance testing, issue management, complaint management, regulatory change management, or regulatory oversight activities. Familiarity with applicable federal and state consumer protection laws and regulations. Strong investigative, analytical, and problem-solving capabilities, including the ability to identify root causes and recommend effective remediation strategies. Excellent written, verbal, and interpersonal communication skills. Proficiency with Microsoft Office applications, including Word, Excel, and PowerPoint.