Confidential
Chief Compliance Officer
About the Company
Prominent financial services company
Industry
Financial Services
Type
Privately Held
Founded
1859
Employees
5001-10,000
Categories
Banking
Consulting
Financial Services
Insurance
Savings & Investing
Consulting & Professional Services
Investing
Investment Management
Financial Advisers
Tax Services
Risk Analysis
Employee Management
Asset Management
Finance
Manhattan
New York City
About the Role The Company is seeking a Chief Compliance Officer to join their dynamic team. The successful candidate will be responsible for maintaining, developing, and managing the overall compliance program functions. This includes providing compliance support and guidance related to wholesale distribution functions, monitoring and ensuring adherence to FINRA, SEC, State, and Insurance department laws, rules, and regulations, and overseeing the EDL's compliance program for regulatory requirements. The role also involves managing regulatory examinations, inquiries, and reviews, as well as leading a compliance team that provides day-to-day support and handles insurance licensing/FINRA registration processing.
Applicants for the Chief Compliance Officer position at the company should have a Bachelor's degree, FINRA Series 6 or 7 and 26 or 24, and at least 7 years of established compliance experience, preferably with a wholesale distributing broker dealer. The ideal candidate will have a strong understanding of SEC, FINRA, and State Insurance laws, rules, and regulations, as well as experience with variable individual and group annuity retirement markets. Key skills include the ability to balance business needs with compliance, proficiency in Microsoft Office, and the ability to work independently and manage multiple tasks. The role requires a professional with a proactive, self-motivated approach, and the ability to think creatively and manage multiple priorities effectively. Hiring Manager Title Financial Chief Compliance Officer Travel Percent Less than 10% Functions Finance
About the Role The Company is seeking a Chief Compliance Officer to join their dynamic team. The successful candidate will be responsible for maintaining, developing, and managing the overall compliance program functions. This includes providing compliance support and guidance related to wholesale distribution functions, monitoring and ensuring adherence to FINRA, SEC, State, and Insurance department laws, rules, and regulations, and overseeing the EDL's compliance program for regulatory requirements. The role also involves managing regulatory examinations, inquiries, and reviews, as well as leading a compliance team that provides day-to-day support and handles insurance licensing/FINRA registration processing.
Applicants for the Chief Compliance Officer position at the company should have a Bachelor's degree, FINRA Series 6 or 7 and 26 or 24, and at least 7 years of established compliance experience, preferably with a wholesale distributing broker dealer. The ideal candidate will have a strong understanding of SEC, FINRA, and State Insurance laws, rules, and regulations, as well as experience with variable individual and group annuity retirement markets. Key skills include the ability to balance business needs with compliance, proficiency in Microsoft Office, and the ability to work independently and manage multiple tasks. The role requires a professional with a proactive, self-motivated approach, and the ability to think creatively and manage multiple priorities effectively. Hiring Manager Title Financial Chief Compliance Officer Travel Percent Less than 10% Functions Finance