drjobs Chief Compliance Officer #ESF5391

Chief Compliance Officer #ESF5391

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1 Vacancy
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Job Location drjobs

Tukwila, WA - USA

Yearly Salary drjobs

$ 150000 - 225000

Vacancy

1 Vacancy

Job Description



What you will be doing:

  • Provide leadership and vision to the Compliance function of the firm.
  • Design implement and oversee the organizations compliance program.
  • Ensure adherence to all applicable laws regulations and internal policies across all business functions.
  • Monitor activities conduct audits and investigate potential violations to mitigate legal and reputational risks.
  • Act as the guardian of ethical business practices within the company.
  • Liaison and be the first point of contact with Broker Dealer in ongoing management of the firm compliance function.
  • Manage the Mainspring Compliance Team to ensure timely completion of annual reviews of registered and nonregistered meeting locations.
  • Oversee daily weekly monthly and annual testing to detect regulatory violations and ensure compliance with regulations and firm policies.
  • Manage regulatory filings and advise on regulatory issues in conjunction with Broker Dealer.
  • Develop training materials and educate employees about regulatory and legal requirements.
  • Review and approve marketing materials including fundrelated materials and presentations.
  • Assist with the preparation and submission of regulatory filings with thirdparty consultants.
  • Provide support and input to Broker Dealer in the development and maintenance of internal legal and compliance systems.
  • Manage the drafting updating and revising of the firm s compliance policies and procedures.
  • Work with Broker Dealer to manage the dissemination of compliance reports and training materials relating to the Investment Advisers Act of 1940.
  • Collaborate with leadership on the preparation and submission of regulatory filings required by regulatory authorities.
  • Manage compliance of the firm s Code of Ethics and regulatory compliance programs.
  • Support the overall team in implementing best practices for compliance with internal controls.
  • Monitor and alert management on current regulatory issues risks and deadlines.
  • Evaluate and implement the latest technology solutions for compliancerelated surveillance.
  • Communicate proactively with supervisors registered representatives and investment advisory representatives.
  • Manage regulatory exams inquiries responses and investigations with federal and state regulators.
  • Ensure compliance with the annual calendar for regulatory deadlines filings audits and internal reviews.
  • Manage the Firms FINRA Gateway filings including Form BD U4s U5s and state registrations.
  • Collaborate and review Written Supervisory Procedures and guidance for registered representatives and personnel.
  • Improve the efficiency of the Firms supervisory system.
  • Conduct risk assessments and internal reviews of the Firms activities and test the effectiveness of policies and procedures.

Experience you will need:

  • FINRA registration including Series 7 Series 66 Series 9 and 10 and required insurance licenses.
  • State regulatory knowledge and experience.
  • Selfstarter with strong organizational skills and attention to detail.
  • Strong persuasive and interpersonal skills.
  • Problem solver and goaloriented team player with a no job is beneath me mentality.
  • Ability to work independently.


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Employment Type

Full Time

Company Industry

About Company

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