About this role
Req ID: 78699
Location: Tulsa -TUL
Areas of Interest: Wealth Management; Accounting; Audit; Client Relationship Support
Pay Transparency Salary Range: Not Available
Application Deadline: 10/21/2026
BOK Financial Corporation Group includes BOKF, NA; BOK Financial Securities, Inc. and BOK Financial Private Wealth, Inc. BOKF, NA operates TransFund and Cavanal Hill Investment Management, Inc. BOKF, NA operates banking divisions: Bank of Albuquerque; Bank of Oklahoma; Bank of Texas and BOK Financial®.
Bonus Type
BOKF Performance Plan (D02)
## Summary
Our institutional wealth team focuses on managing and growing the financial assets of large organizations and entities, specializing in retirement plans and asset services, corporate trust, and reinsurance. We offer a wide range of services, including trust and investment management, retirement planning, investment consulting, and more, serving a diverse clientele such as corporate entities, foundations, and municipalities. Our team of experienced professionals works closely with clients to provide tailored financial solutions, leveraging extensive industry knowledge to drive client success.
Job Description
The IW Plan Compliance Consultant serves as an experienced technical resource within the Plan Compliance Services group. This position is responsible for performing compliance services for medium to highly complex plans while providing technical guidance, mentorship, and quality oversight for Associates and Analysts.
The Consultant serves as a trusted advisor to plan sponsors, applying advanced technical expertise to evaluate complex compliance matters, interprets regulatory requirements, and develops corrective action strategies. Recommendations have a direct impact on regulatory compliance outcomes, operational risk management, client satisfaction, and retention. This position operates with a high degree of independence, exercising sound professional judgement.
Team Culture
Here at BOK Financial, we believe meaningful careers start with recognizing and prioritizing potential. We emphasize collaboration and professionalism to seamlessly address clients’ complex financial needs. Innovation and continuous learning are highly valued, encouraging team members to stay ahead of market trends and deliver cutting-edge solutions. Our culture of mutual respect and trust focuses on everyone's contributions, enabling us to create and adapt customized strategies that grow with our clients' needs.
How You'll Spend Your Time
- You will advise retirement plan sponsors on compliance requirements, plan design strategies, and regulatory changes.
- You will independently manage annual compliance projects for moderately complex retirement plans.
- You will review participant eligibility, compensation, and contributions to ensure plan compliance.
- You will conduct and analyze retirement plan compliance testing and allocation calculations.
- You will provide technical guidance on compliance issues, correction methods, and regulatory requirements.
- You will coordinate Form 5500 filings, audit support, and corrective actions for operational issues.
- You will support complex compliance research, process improvements, training, and risk management initiatives.
Education & Experience Requirements
This level of knowledge is normally acquired through completion of a bachelor’s degree in business, Accounting, Finance, or related field and 5-8 years of directly related retirement plan compliance or administration experience; or equivalent combination of education and experience.
- Advanced knowledge of retirement plan administration, plan operations, compliance requirements, and regulatory guidance affecting qualified retirement plans.
- Ability to manage and oversee moderately complex compliance projects from initial data collection through final deliverable preparation and client consultation.
- Strong understanding of plan design provisions, operational compliance requirements, correction principles, and regulatory reporting obligations.
- Ability to review compliance work prepared by others, identify risks or inconsistencies, and ensure adherence to departmental standards and procedures.
- Strong client relationship and consulting skills with the ability to communicate compliance risks, operational concerns, corrective actions, and plan design considerations to plan sponsors.
- Ability to interpret and apply regulatory guidance to resolve complex compliance matters and support operational decision-making.
- Strong project management and organizational skills with the ability to coordinate multiple stakeholders, prioritize competing deadlines, and manage project deliverables.
- Ability to mentor, train, and provide technical guidance to Analysts and Associates.
- Ability to prepare, review, and finalize compliance deliverables, client communications, plan amendments, and supporting documentation.
- Ability to support quality review efforts, identify process improvement opportunities, and contribute to departmental risk management initiatives.
- Strong written and verbal communication skills with the ability to present information effectively to clients, auditors, management, and internal business partners .
BOK Financial Corporation Group is a stable and financially strong organization that provides excellent training and development to support building the long term careers of employees. With passion, skill and partnership you can make an impact on the success of the bank, customers and your own career!
Apply today and take the first step towards your next career opportunity!
The companies in BOK Financial Corporation Group are equal opportunity employers. We are committed to providing equal employment opportunities for training, compensation, transfer, promotion and other aspects of employment for all qualified applicants and employees without regard to sex, race, color, religion, national origin, age, disability, pregnancy status, sexual orientation, genetic information or veteran status.
Please contact [email protected] with any questions.