Senior Compliance Officer - Broker-Dealer Operations Location: New York NY (Onsite 5 days/week)
Function: U.S. Broker-Dealer Compliance
Coverage Areas: Operations Treasury Finance
Level: Senior Individual Contributor
Overview: Ourclient is hiring a seasoned
Senior Compliance Officer to lead regulatory oversight and business-line coverage for their U.S. broker-dealer with a strong emphasis on
Operations Treasury and Finance interfaces. This role owns the firms regulatory governance cadence supports examinations and audits manages registrations and disclosures and strengthens supervisory controls policies and recordkeeping. You will work closely with Finance Operations Technology and Central Compliance to ensure a consistent exam-ready control environment.
Key Responsibilities: Regulatory Oversight & Risk Advisory -
Serve as a trusted compliance advisor to business stakeholders providing clear guidance on regulatory obligations and operational risk.
-
Translate regulatory requirements into practical sustainable controls aligned with business processes.
Regulatory Governance & Obligation Management -
Enhance and maintain the broker-dealer regulatory governance framework identifying gaps and strengthening oversight mechanisms.
-
Own the firms regulatory obligation inventory including SEC FINRA and DEA requirements-tracking deadlines owners evidence and escalations.
-
Manage FINRA Gateway workflows communications and task queues across exchange and clearing memberships.
Registrations & Licensing -
Partner with Central Compliance on registration and licensing processes including Form U4/U5 updates.
-
Coordinate Form BD amendments and branch registrations (Form BR) ensuring timely and accurate submissions.
Regulatory Reporting & Disclosures -
Oversee periodic reviews and remediation for regulatory reporting obligations including CAT/CAIS Blue Sheets (EBS) LOPR and short-interest filings.
-
Maintain documentation evidence logs and control attestations supporting reporting accuracy.
Examinations Audits & Inquiries -
Lead the annual FINRA Rule 3120 Supervisory Control Review including scoping vendor coordination testing findings management and executive reporting.
-
Coordinate annual FINRA vendor due-diligence responses.
-
Centralize regulator inquiries manage response workflows upload evidence and drive remediation through regulatory portals and internal tracking tools.
-
Design and execute an exam-readiness program (mock requests evidence libraries contact matrices) ahead of regulatory cycles with issue tracking in AuditBoard.
Membership & Regulatory Filings Lifecycle -
Manage ongoing membership documentation annual attestations and regulatory due-diligence submissions.
-
Perform second-line quality reviews of filings prior to submission; standardize workflows checklists and repositories.
Supervisory Controls WSPs & Policy Management -
Update and maintain Treasury-related Written Supervisory Procedures mapping controls and responsibilities to regulatory requirements.
-
Publish policies and procedures within enterprise policy systems supporting attestations and evidence collection.
-
Draft and maintain a Treasury Best Execution policy in coordination with Central Compliance.
Books & Records & Recordkeeping -
Lead books-and-records enhancement initiatives documenting changes and maintaining a clear audit trail.
-
Oversee compliance with SEC Rules 17a-3 and 17a-4 including periodic retention and completeness checks.
Compliance Testing & Assurance -
Collaborate with Compliance Testing to develop and execute the annual compliance risk assessment and testing plan.
-
Identify risk areas define testing approaches evaluate results and track issue resolution to closure.
Governance Training & Engagement -
Co-manage monthly Broker-Dealer Governance forums including agenda development and action tracking.
-
Contribute to annual training needs assessments and deliver targeted compliance training; monitor regulatory and firm-element training completion.
Financial & Operational Rule Interfaces -
Coordinate with Finance on Net Capital (Rule 15c3-1) and Customer Protection (Rule 15c3-3) matters.
-
Maintain Regulation SHO oversight and partner with Technology to enhance compliance tooling and automation.
Requirements: -
Experience: 7 10 years of deep-bench experience in U.S. broker-dealer compliance specifically within an assurance exam management or supervisory control capacity.
-
Regulatory Knowledge: Expert-level command of FINRA Rulesand SEC 17a-3/17a-4.
-
Tech Stack Proficiency: Hands-on mastery of FINRA Gateway AuditBoard PolicyHub JIRA and SharePoint. Experience with CAT/CAIS and EBS reporting tools is essential.
-
Credentials: FINRA Series 7 is highly preferred; Series 14 24 or 27 is a significant advantage.
-
Expertise: Specific experience covering Treasury/Operations (custody sweeps and funding) and a proven ability to translate complex rules into auditable practical controls.
.
Senior Compliance Officer - Broker-Dealer Operations Location: New York NY (Onsite 5 days/week) Function: U.S. Broker-Dealer Compliance Coverage Areas: Operations Treasury Finance Level: Senior Individual Contributor Overview: Ourclient is hiring a seasoned Senior Compliance Officer to lead regulat...
Senior Compliance Officer - Broker-Dealer Operations Location: New York NY (Onsite 5 days/week)
Function: U.S. Broker-Dealer Compliance
Coverage Areas: Operations Treasury Finance
Level: Senior Individual Contributor
Overview: Ourclient is hiring a seasoned
Senior Compliance Officer to lead regulatory oversight and business-line coverage for their U.S. broker-dealer with a strong emphasis on
Operations Treasury and Finance interfaces. This role owns the firms regulatory governance cadence supports examinations and audits manages registrations and disclosures and strengthens supervisory controls policies and recordkeeping. You will work closely with Finance Operations Technology and Central Compliance to ensure a consistent exam-ready control environment.
Key Responsibilities: Regulatory Oversight & Risk Advisory -
Serve as a trusted compliance advisor to business stakeholders providing clear guidance on regulatory obligations and operational risk.
-
Translate regulatory requirements into practical sustainable controls aligned with business processes.
Regulatory Governance & Obligation Management -
Enhance and maintain the broker-dealer regulatory governance framework identifying gaps and strengthening oversight mechanisms.
-
Own the firms regulatory obligation inventory including SEC FINRA and DEA requirements-tracking deadlines owners evidence and escalations.
-
Manage FINRA Gateway workflows communications and task queues across exchange and clearing memberships.
Registrations & Licensing -
Partner with Central Compliance on registration and licensing processes including Form U4/U5 updates.
-
Coordinate Form BD amendments and branch registrations (Form BR) ensuring timely and accurate submissions.
Regulatory Reporting & Disclosures -
Oversee periodic reviews and remediation for regulatory reporting obligations including CAT/CAIS Blue Sheets (EBS) LOPR and short-interest filings.
-
Maintain documentation evidence logs and control attestations supporting reporting accuracy.
Examinations Audits & Inquiries -
Lead the annual FINRA Rule 3120 Supervisory Control Review including scoping vendor coordination testing findings management and executive reporting.
-
Coordinate annual FINRA vendor due-diligence responses.
-
Centralize regulator inquiries manage response workflows upload evidence and drive remediation through regulatory portals and internal tracking tools.
-
Design and execute an exam-readiness program (mock requests evidence libraries contact matrices) ahead of regulatory cycles with issue tracking in AuditBoard.
Membership & Regulatory Filings Lifecycle -
Manage ongoing membership documentation annual attestations and regulatory due-diligence submissions.
-
Perform second-line quality reviews of filings prior to submission; standardize workflows checklists and repositories.
Supervisory Controls WSPs & Policy Management -
Update and maintain Treasury-related Written Supervisory Procedures mapping controls and responsibilities to regulatory requirements.
-
Publish policies and procedures within enterprise policy systems supporting attestations and evidence collection.
-
Draft and maintain a Treasury Best Execution policy in coordination with Central Compliance.
Books & Records & Recordkeeping -
Lead books-and-records enhancement initiatives documenting changes and maintaining a clear audit trail.
-
Oversee compliance with SEC Rules 17a-3 and 17a-4 including periodic retention and completeness checks.
Compliance Testing & Assurance -
Collaborate with Compliance Testing to develop and execute the annual compliance risk assessment and testing plan.
-
Identify risk areas define testing approaches evaluate results and track issue resolution to closure.
Governance Training & Engagement -
Co-manage monthly Broker-Dealer Governance forums including agenda development and action tracking.
-
Contribute to annual training needs assessments and deliver targeted compliance training; monitor regulatory and firm-element training completion.
Financial & Operational Rule Interfaces -
Coordinate with Finance on Net Capital (Rule 15c3-1) and Customer Protection (Rule 15c3-3) matters.
-
Maintain Regulation SHO oversight and partner with Technology to enhance compliance tooling and automation.
Requirements: -
Experience: 7 10 years of deep-bench experience in U.S. broker-dealer compliance specifically within an assurance exam management or supervisory control capacity.
-
Regulatory Knowledge: Expert-level command of FINRA Rulesand SEC 17a-3/17a-4.
-
Tech Stack Proficiency: Hands-on mastery of FINRA Gateway AuditBoard PolicyHub JIRA and SharePoint. Experience with CAT/CAIS and EBS reporting tools is essential.
-
Credentials: FINRA Series 7 is highly preferred; Series 14 24 or 27 is a significant advantage.
-
Expertise: Specific experience covering Treasury/Operations (custody sweeps and funding) and a proven ability to translate complex rules into auditable practical controls.
.
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