Chief Compliance Officer Job at Spring EQ LLC, Philadelphia, PA

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  • Spring EQ LLC
  • Philadelphia, PA

Job Description

Overview

Spring EQ is a national home equity lender providing flexible and tailored financing solutions directly to consumers with a national network of experienced brokers and partners. Since its founding in 2016, Spring EQ is among the fastest growing and highest-rated home equity financing partners in the United States. Spring EQ offers a broad range of home equity products and delivers a simple and streamlined process that results in faster funding, trustworthy loans, and less frustration for consumers today. To learn more about Spring EQ, visit

At Spring EQ, it is our mission to empower homeowners and buyers to achieve and maximize the value of homeownership in a simple, fast, and ethical manner. Our values are to

  • Be kind and treat all people – teammates, customers, and vendors – with respect and consideration
  • Be adaptable and embrace change
  • Be accountable and take responsibility and deliver the effort to fully complete the task
  • Be better and strive for continuous improvement in ourselves, our team, and the company for our customers
  • Be part of the solution and solve problems, find the answers, and collaborate
  • Work hard, have fun, and get things done

The Chief Compliance Officer is responsible for leading and overseeing the organization's compliance program within the mortgage industry. This senior role ensures that all mortgage operations adhere to federal and state laws and regulations, including but not limited to RESPA, TILA, HMDA, ECOA, TRID, and CFPB guidelines, as well as investor compliance-related guidelines. The Chief Compliance Officer will develop, implement, and monitor policies and procedures to mitigate risk, ensure regulatory compliance, and promote a culture of integrity and accountability across the organization.

Responsibilities

  • Develop and guide the company’s mortgage compliance strategy, ensuring alignment with federal and state laws and regulations as well as investor guidelines.
  • Oversee the design, implementation, and monitoring of compliance policies, procedures, and internal controls across all mortgage operations.
  • Serve as a liaison with regulatory agencies, investors, and auditors during examinations, audits, and inquiries.
  • Support and collaborate with the Office of the General Counsel in its oversight of the company’s compliance management system, including integration with loan manufacturing, servicing and support services.
  • Monitor regulatory changes and assess their impact on business operations; communicate updates and recommended actions to executive leadership; support and implement the advice and recommendations of the Office of the General Counsel
  • Manage the compliance team, including hiring, training, performance management, and succession planning.
  • Set departmental goals and KPIs, ensuring team accountability and alignment with organizational objectives.
  • Provide strategic direction and mentorship to compliance managers, analysts, and support staff, fostering a culture of integrity, collaboration, and continuous improvement.
  • Oversee the preparation and submission of required regulatory reports and disclosures.
  • Collaborate cross-functionally with Legal, Risk, Sales, Operations, Servicing, and other departments to ensure cohesive compliance practices and risk mitigation.
  • Conduct internal investigations into compliance concerns and oversee the implementation of corrective actions.
  • Advise on departmental budget, resource allocation, and technology needs to support compliance operations.
  • Present updates to executive leadership regarding compliance status, risk exposure, and strategic initiatives.

Qualifications

  • Required Skills/Abilities:

    • Deep understanding of mortgage lending regulations and compliance requirements.
    • Strong leadership and strategic thinking skills.
    • Excellent communication and interpersonal abilities.
    • High-level analytical thinking required to interpret complex regulations, assess risk, make recommendations, and develop strategic compliance initiatives.
    • High ethical standards and integrity.
    • Strong analytical and problem-solving skills.
    • Ability to manage multiple priorities in a fast-paced environment.
    • Proficiency in compliance management systems and tools.

    Experience and Education

    • Minimum of 10 years of experience in mortgage compliance, with at least 5 years in a senior leadership role.
    • Proven track record of managing regulatory examinations and audits.
    • Experience working with federal and state regulators (e.g., CFPB, HUD, state banking departments).
    • Certifications such as CRCM (Certified Regulatory Compliance Manager) or similar are a plus.
    • Bachelor’s degree in Business, Finance, Law, or related field (Master’s or JD are a plus).

    Additional Requirements:

    • Travel: Occasional travel may be required for regulatory meetings, conferences, or site visits (typically less than 10%).
    • Confidentiality: Must maintain strict confidentiality and discretion when handling sensitive company and client information.

Benefits

  • 401k Company Match
  • Annual Charitable Matching Gift Program
  • Commuter Benefits
  • Company Holidays
  • Credit Union Membership
  • Dental Insurance
  • Dependent Care Plan
  • Disability Insurance
  • Employee Assistance Program
  • Life Insurance
  • Medical Insurance
  • Paid Time Off Plan
  • Vision Insurance
  • Weekly Non-Management Dinner Benefit

Spring EQ is an Equal Opportunity Employer. We make all employment decisions based on merit and business needs. If you require a reasonable accommodation at any stage of the hiring or employment process, please contact recruiting@springeq.com

Job Tags

Full time, Work at office, Flexible hours,

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