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Rekruiting Advisors

Chief Compliance Officer

Duties:

  • Establish, maintain and upgrade standards and procedures that are effective in identifying, preventing, detecting and remediating regulatory issues.
  • Continually assess the inherent risk of business units as well as the effectiveness of mitigating controls to minimize the residual risk of reputational damage, regulatory consequences and other operational risks.
  • Oversee and manage the compliance program functions for the BD and IRA, including implementation of written supervisory procedures, transaction monitoring, AML compliance (FINRA Rule 3310), training and annual testing.
  • Manage the licensing requirements and holdings for the BD, and IRA.
  • Manage regulatory interactions, prepare submissions and coordinate responses to inquiries from regulatory authorities.
  • Work with senior management, Legal, Compliance, HR, Marketing, registered representatives, and other key constituencies.
  • Provide advice on MSRB, FINRA, and SEC rules, regulations and interpretive guidance, as well as applicable internal policies and procedures.
  • Ensuring that SARs, CTRs, and CIMRs are filed promptly and on time.

Requirements:

  • Licenses: series 24, 7.
  • Minimum 10 years of experience working in a senior compliance role (CCO or similar) within a financial services firm supporting a Broker Dealer and/or RIA.
  • Experience working with regulatory agencies and legal teams, both internal and external.
  • Experience with US Anti-Money Laundering regulations and best practices.
Job Type: Full Time
Job Location: Miami - FL

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