About the role

Responsibilities: Partner with executive leadership to shape, execute, and continuously strengthen the firm's compliance framework in alignment with applicable securities industry regulatory obligations. Provide strategic oversight of monitoring, supervisory review, investigative processes, regulatory filings, and compliance assurance activities. Act as a senior resource for escalated regulatory, supervisory, and conduct-related matters presenting elevated risk to the organization. Direct compliance oversight for the offering and distribution of specialized investment solutions, including non-traditional investment vehicles, insurance-based products, and other higher-complexity offerings. Contribute to governance processes supporting product review, risk assessment, approval, and ongoing oversight activities. Maintain and enhance supervisory governance documentation, policies, and procedural standards to support effective oversight. Work closely with business stakeholders to evaluate supervisory effectiveness, strengthen control environments, and implement process improvements where necessary. Lead regulatory engagement activities, including examination support, information requests, issue remediation efforts, and management of corrective action initiatives. Assess emerging regulatory and industry developments to determine potential impacts on business activities, sales practices, and distribution models.

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JOB OVERVIEW

Experience level

Manager

Location

New York, NY

Occupation

Compliance Managers

Industry

Investment Banking and Securities Intermediation

Posted

3 days ago

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