via LinkedIn
$80K - 120K a year
Support and enhance compliance programs focusing on BSA/AML, fiduciary compliance, and regulatory risk management for trust services.
Requires 5 years compliance experience in trust or fiduciary services, knowledge of complex trust structures, and hands-on BSA/AML and sanctions compliance.
About the Company Teton Trust Company (“TTC”) is a Wyoming state-chartered trust company based in Jackson Hole. The trust company is an independent, professional trustee, acting primarily for international high-net worth clients with cross-border succession planning needs. Our team is international, multilingual, consisting largely of legal and accounting professionals. We work closely with attorneys, family advisors, private banks, trustees, and other institutions worldwide. Position Overview We are seeking an experienced Senior Compliance Analyst in supporting and enhancing our compliance program. The role is well suited for an experienced compliance professional who can independently assess regulatory risk, apply a practical, risk-based approach to complex client structures, and contribute to the ongoing development of compliance policies and controls. The Senior Compliance Analyst will work closely with trust officers and the Chief Compliance Officer to ensure regulatory requirements are met while supporting efficient and compliant trust operations. Key Responsibilities • Support the administration of the company’s compliance program, including BSA/AML, OFAC, and fiduciary compliance requirements. • Conduct enhanced due diligence, including source of wealth and source of funds reviews, for high-net-worth and international clients. • Perform new account reviews, transaction monitoring, and ongoing client reviews in accordance with risk-based policies. • Assist in identifying and escalating compliance risks related to cross-border activity and complex fiduciary arrangements. • Review, investigate, and document potentially suspicious activity and draft Suspicious Activity Reports in accordance with BSA/AML regulations, internal policies, and regulatory timelines. • Serve as a trusted advisor to trust officers and compliance staff on non-routine or complex compliance issues. • Contribute to the development, interpretation, and enhancement of compliance policies, procedures, and ensure proper documentation. • Track and analyze regulatory developments affecting trust and fiduciary services. • Prepare compliance reports, metrics, and supporting materials for management. Candidate Requirements • Bachelor’s degree required; advanced degree or professional certification a plus. • 5 years compliance experience within a trust company, fiduciary services firm, or similar financial institution. • Working knowledge of trust and fiduciary services, including complex trust structures and closely held entities. • Hands-on experience with BSA/AML, sanctions, and regulatory compliance for international or high-net-worth clients. • Strong analytical skills with attention to detail and sound judgment. • Excellent communication skills, with the ability to explain complex regulatory issues clearly and pragmatically.
This job posting was last updated on 2/23/2026