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Compliance And Risk Analyst Jobs in Wyoming (NOW HIRING)

This position manages risk assessments, suspicious activity monitoring, OFAC compliance, consumer ... Excellent analytical, investigative, organizational, and communication skills. * Ability to ...

$92K - $115K/yr

In this role, you will provide technical expertise in regulatory interpretation, compliance risk ... You analyze information objectively, evaluate options, and apply sound judgment to solve problems ...

BSA/Compliance Officer

Jackson, WY · On-site

$90 - $105/hr

This position manages risk assessments, suspicious activity monitoring, OFAC compliance, consumer ... Excellent analytical, investigative, organizational, and communication skills. * Ability to ...

$67K - $88K/yr

Communicate shortage risk to plant materials and sourcing teams. * Facilitate the smooth transition ... Knowledge of International Trade Compliance rules and practices. * Project management experience ...

AVP, Senior Credit Analyst

Jackson, WY · On-site

$85K - $110K/yr

... compliance across all stages of the credit lifecycle. If you're detail-oriented, disciplined, and skilled at managing both relationships and risk--this role is for you About the Role The AVP, Senior ...

AVP, Senior Credit Analyst

Jackson, WY · On-site

$85K - $110K/yr

... compliance across all stages of the credit lifecycle. If you're detail-oriented, disciplined, and skilled at managing both relationships and risk-this role is for you About the Role The AVP, Senior ...

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Compliance And Risk Analyst information

What is a compliance and risk analyst?

Compliance and Risk Analysts are professionals who help organizations ensure they are following laws, regulations, and internal policies. They identify potential risks that could affect the company’s reputation, finances, or operations and develop strategies to minimize those risks. Their work often includes monitoring activities, conducting audits, and providing recommendations to improve compliance and risk management. Compliance and Risk Analysts play a crucial role in protecting organizations from legal issues and financial losses.

How does a compliance and risk analyst typically collaborate with other departments within an organization?

A Compliance and Risk Analyst regularly works with teams such as Legal, Finance, Operations, and IT to ensure that company policies and procedures comply with regulations and manage potential risks. This collaboration often involves conducting risk assessments, reviewing new business initiatives, and helping to develop and implement internal controls. Open communication and cross-functional teamwork are crucial, as the analyst must gather information, address potential compliance issues, and provide training or guidance across various departments. These interactions help foster a culture of compliance and proactive risk management throughout the organization.

What are the key skills and qualifications needed to thrive as a compliance and risk analyst, and why are they important?

To thrive as a Compliance and Risk Analyst, you need a solid understanding of regulatory frameworks, risk management principles, and data analysis, often supported by a relevant degree such as finance, law, or business. Familiarity with compliance management software, risk assessment tools, and certifications like CRCM or CAMS is highly valuable. Attention to detail, critical thinking, and strong communication skills help you effectively identify issues and collaborate with various stakeholders. These skills ensure organizations remain compliant, mitigate risks, and maintain integrity in a constantly evolving regulatory environment.

What is the difference between Compliance And Risk Analyst vs Compliance Officer?

AspectCompliance And Risk AnalystCompliance Officer
CertificationsCertified Risk and Compliance Management Professional (CRCMP), Certified Compliance & Ethics Professional (CCEP)CRCMP, CCEP, Certified Regulatory Compliance Manager (CRCM)
Work EnvironmentFinancial institutions, corporations, consulting firmsFinancial services, healthcare, corporate compliance departments
Primary FocusIdentifying and analyzing risks, developing risk mitigation strategiesEnsuring organizational compliance with laws and regulations
Common TasksRisk assessments, policy development, compliance reportingPolicy implementation, audits, training staff

While both roles focus on compliance, the Compliance And Risk Analyst emphasizes risk assessment and mitigation strategies, whereas the Compliance Officer concentrates on ensuring adherence to regulations and policies. Both roles often collaborate but serve distinct functions within organizations.

Is compliance and risk a good career?

Compliance and risk analysis is a growing field that involves ensuring organizations adhere to laws, regulations, and internal policies. It requires strong attention to detail, analytical skills, and often certifications like CRCM or CCEP. The role offers stability and opportunities for advancement in various industries such as finance, healthcare, and manufacturing.

What job categories do people searching Compliance And Risk Analyst jobs in Wyoming look for?

The top searched job categories for Compliance And Risk Analyst jobs in Wyoming are:

What cities in Wyoming are hiring for Compliance And Risk Analyst jobs?

Cities in Wyoming with the most Compliance And Risk Analyst job openings:

Infographic showing various Compliance And Risk Analyst job openings in Wyoming as of August 2026, with employment types broken down into 1% As Needed, 81% Full Time, 15% Part Time, and 3% Contract. Highlights an 92% Physical, 3% Hybrid, and 5% Remote job distribution.

Director DOT Compliance

Casper, WY • On-site

Full-time

Re-posted 8 days ago


Job description

Description:

The Director of DOT Compliance is responsible for developing, implementing, and overseeing all Department of Transportation (DOT) compliance programs across the organization. This role serves as the company's subject matter expert for all federal, state, and local transportation regulations impacting commercial motor vehicle operations, driver qualification, fleet safety, hours of service, drug and alcohol testing, and regulatory reporting.


The Director of DOT Compliance partners closely with Operations, Safety, and other internal functions to ensure regulatory compliance, reduce organizational risk, and support safe and efficient operations. This position provides strategic leadership and operational oversight for DOT compliance programs while promoting a culture of safety and accountability throughout the organization.


Requirements:

Job Summary:


Regulatory Compliance & Program Management

  • Develop, implement, and maintain company-wide DOT compliance programs, policies, procedures, and standards while fostering a proactive compliance culture focused on safety, accountability, and continuous improvement.
  • Ensure compliance with all applicable Federal Motor Carrier Safety Administration (FMCSA), Department of Transportation (DOT), state transportation, and related regulatory requirements.
  • Serve as the primary resource for DOT compliance guidance and interpretation throughout the organization.
  • Monitor regulatory changes and assess operational impacts, communicating requirements and recommendations to leadership.
  • Lead internal audits and compliance reviews to identify risks and corrective actions.
  • Establish and maintain compliance metrics, dashboards, and reporting for executive leadership.
  • Oversee preparation for and response to DOT audits, investigations, inspections, and regulatory inquiries.
  • Manage corrective action plans and ensure timely resolution of compliance findings.


Driver Qualification & Safety Programs

  • Oversee Driver Qualification File (DQF) compliance and administration.
  • Ensure compliance with driver hiring, onboarding, licensing, medical certification, and qualification requirements.
  • Develop and deliver DOT compliance training programs for drivers, supervisors, managers, and operational leaders.
  • Provide coaching and support to operational leaders regarding compliance expectations and corrective actions.
  • Manage Motor Vehicle Record (MVR) monitoring programs and driver risk assessments.
  • Oversee Hours of Service (HOS) compliance, Electronic Logging Device (ELD) programs, and related recordkeeping requirements.
  • Lead drug and alcohol testing programs, including pre-employment, random, post-accident, reasonable suspicion, return-to-duty, and follow-up testing requirements.
  • Partner with Human Resources and Safety teams on compliance-related employee matters.


Fleet & Operational Compliance

  • Ensure compliance with vehicle inspection, maintenance, and recordkeeping requirements.
  • Partner with Fleet and Operations leadership to establish preventive maintenance compliance standards.
  • Monitor vehicle registration, permitting, and licensing requirements.
  • Support oversized/overweight transportation compliance requirements as applicable.
  • Evaluate operational practices and recommend improvements to reduce compliance risk and improve safety performance.


Risk Management & Continuous Improvement

  • Analyze compliance trends, incidents, violations, and audit findings to identify improvement opportunities.
  • Develop strategies to improve performance and reduce organizational risk.
  • Partner with Safety, Operations, Fleet, Legal, and Human Resources teams to investigate and resolve compliance concerns.
  • Lead continuous improvement initiatives that enhance compliance effectiveness and operational efficiency.
  • Continuously evaluate services and/or technologies that support DOT compliance and make recommendations as to their applicability and use for the Company.  


Additional Responsibilities

  • Travel as necessary to support field operations, audits, investigations, training, and business needs.
  • Perform other duties as assigned.


Education & Experience Requirements:

  • Bachelor's degree in Transportation, Logistics, Safety, Business Administration, or a related field preferred or a combination of education and relevant experience.
  • Certified Director of Safety (CDS) certification required.
  • 10+ years of progressive DOT compliance, transportation, fleet operations, safety, or regulatory compliance experience.
  • 5+ years of leadership experience managing compliance programs and teams.
  • Experience supporting multi-state transportation operations.
  • Experience managing FMCSA audits, investigations, and regulatory compliance programs.
  • Experience within construction, energy, transportation, logistics, heavy haul, or industrial services environments preferred.


Work Environment/Physical Requirements:

The physical demands of are generally light and primarily aligned with office-based work unless visiting operational facilities/sites.

Specific requirements include:

  • Ability to work in both office and field environments.
  • May occasionally be exposed to construction sites, industrial facilities, warehouses, transportation yards, and varying weather conditions.
  • Extended periods of sitting at a desk and working on a computer or other digital devices.
  • Frequent use of hands for typing, writing, and handling office equipment.
  • Occasional walking during on-site visits to different areas within the organization.
  • Active listening and clear speech are essential for effectively supporting and coaching leaders and employees.
  • Ability to lift, carry, or move up to 25 pounds 
  • Ability to wear all required personal protective equipment as required
  • Exposure to varying weather conditions, including extreme heat, cold, rain, and wind if on location
  • Travel up to 25%



TAKKION is an Equal Opportunity Employer