Chief Compliance Officer, Securities Regulatory Affairs
Description
The Chief Compliance Officer will be responsible for developing and implementing policies and procedures to ensure compliance with applicable securities regulatory requirements. You will establish, review, test, and modify these policies and procedures to comply with securities laws, regulations, and FINRA rules, which will be evidenced in the annual FINRA Rule 3130 certification. Additionally, you will lead the company’s broker-dealer Compliance team and program.
Company Culture and Environment
The company promotes a culture of compliance and accountability, emphasizing the importance of adhering to regulatory standards. Collaboration within the Compliance team is essential as you work together to maintain a compliant environment.
Career Growth and Development Opportunities
This role offers the chance to lead a Compliance program, providing valuable experience that can pave the way for career advancement in compliance and regulatory affairs within the financial industry.
Detailed Benefits and Perks
• Flexible work environment with remote options
• Opportunities for continuous learning and professional development
• Supportive team culture focused on compliance
Compensation and Benefits
• Competitive salary based on experience
• Comprehensive health benefits
• Retirement savings plan options
• Paid time off and holidays
Why you should apply for this position today
This position offers a unique opportunity to shape compliance policies and procedures in a dynamic and evolving regulatory landscape. Join a dedicated team that values integrity and compliance, which will enhance your professional growth while making a significant impact in the financial sector.
Skills
• Strong knowledge of securities laws and regulations
• Familiarity with FINRA rules and compliance frameworks
• Excellent analytical and problem-solving skills
• Strong leadership capabilities to guide the Compliance team
• Effective communication skills, both verbal and written
Responsibilities
• Develop and implement compliance policies and procedures
• Conduct regular reviews and modifications to ensure adherence to regulations
• Oversee the broker-dealer Compliance program
• Prepare for and manage the annual FINRA Rule 3130 certification process
• Lead and mentor the Compliance team in achieving regulatory compliance
Qualifications
• Juris Doctor (JD) degree from an accredited law school
• Proven experience in securities compliance or regulatory affairs
• Strong background in financial services or broker-dealer compliance
Education Requirements
• Juris Doctor (JD) degree required
Education Requirements Credential Category
• Legal Degree
Experience Requirements
• Minimum of 5 years of experience in compliance or regulatory roles within the financial industry
• Experience leading compliance teams and programs
Why work in San Francisco, CA
San Francisco is a vibrant city known for its innovation, diverse culture, and beautiful landscapes. The city offers a thriving job market, particularly in the finance and technology sectors, providing numerous opportunities for professional networking and growth. With its rich history and cultural experiences, living and working in San Francisco can contribute to a fulfilling personal and professional life.
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