Head of Compliance
Cette offre est-elle pour vous ?
Créer mon CV Créez votre CV et découvrez votre pourcentage de correspondance avec ce poste — et avec tous les autres.
Le poste
Lead a risk-based compliance program for a dual-registered RIA/Broker-Dealer in a dynamic financial services firm.
Design, implement, and maintain robust policies, procedures, and written supervisory procedures (WSPs).
Oversee regulatory examinations and ensure adherence to SEC and FINRA standards.
Collaborate with the leadership team to assess new business initiatives and manage external vendors.
Provide practical guidance on compliance issues, develop training programs, and drive a culture of accountability.
Operate in a hybrid role with occasional on-site leadership meetings and minimal travel, overseeing advisory and brokerage operations.
Design, implement, and maintain robust policies, procedures, and written supervisory procedures (WSPs).
Oversee regulatory examinations and ensure adherence to SEC and FINRA standards.
Collaborate with the leadership team to assess new business initiatives and manage external vendors.
Provide practical guidance on compliance issues, develop training programs, and drive a culture of accountability.
Operate in a hybrid role with occasional on-site leadership meetings and minimal travel, overseeing advisory and brokerage operations.
Voir l'offre en entier
Missions, profil recherché, compétences et avantages — en créant votre compte gratuitement.
ou
Déjà un compte ?
Se connecterOffres similaires
D'autres postes qui pourraient vous convenir.
? Data Engineer (1 - 2 years of experience in Big Data, Spark, Hadoop, Shell scripting) ? Sr Manager, Data Science ? Project Manager - Generative AI Data Operations ? Senior Data Engineer, Compliance Engineering & Technology ? Staff Software Engineer (BE/ML) - Compliance & Readiness ? Staff Data Scientist
VilleGreen Bay, United States