Compliance Manager, Vice President, Hybrid
Company: STATE STREET CORPORATION
Location: Boston
Posted on: November 6, 2024
Job Description:
Compliance Manager, Vice President, HybridWho we are looking
forInstitutional Broker/Dealer is seeking an experienced compliance
professional. The role must maintain and apply current knowledge of
FINRA, NYSE, SEC, NFA and MSRB rules and regulations. The position
is responsible for supporting the business teams in the
implementation of all required policies and assist the Chief
Compliance Officer with the compliance oversight of the
Broker/Dealer's trading activities. This includes addressing
trading practice and applicable reporting requirements, including
CAT, TRACE and MSRB. The candidate should have experience with:
Domestic and International Institutional and Accounts DVP/RVP,
Equities and Fixed Income, Trading Practice Compliance, Trade
Reporting: CAT, TRACE, communicating with regulators, monitoring
and surveillance of controls, as well as strong knowledge of
securities rules and regulations covering operating procedures.Job
can be performed in Boston. Work pattern is 4 days in the office
and 1 day remote.Why this role is important to usThe team you will
be joining plays an important role in the overall success of the
organization. Across the globe, institutional investors rely on us
to help them manage risk, respond to challenges, and drive
performance and profitability. To make that happen we need teams
like yours to help navigate employees and the organization as a
whole. In your role you will strive for cutting-edge solutions,
that are straightforward and scalable. You will help us build
resilience and execute day to day deliverables at our best. Join us
if making your mark in the financial services industry from day one
is a challenge you are up for.What you will be responsible forAs
Trading Compliance Manager you will:
- Coordinate with various internal and external constituents to
ensure accurate trade and execution reporting to the SEC, FINRA and
various SRO's regarding applicable trade reporting requirements
including TRACE, MSRB, and CAT.
- Implement and enhance the Compliance Oversight Program in
alignment with division methodology addressing all relevant risks
and corporate and local requirements.
- Proactively engage with First Line of Defense, control
functions (Risk, Legal, Audit and IT) and participate in and
provide management oversight on the development of the Compliance
Oversight Program in response to changes in regulatory obligations
and industry standards and best practices.
- Provide advice to firm's Registered Representatives regarding
applicable securities rules, regulations and firm policies.
- Assist in development and implementation of Compliance
Oversight Program and applicable surveillance/monitoring programs
to review the firm's activities to remain in compliance with all
aspects of regulatory standards.
- Demonstrate excellent communication skills, both oral and
written. Should have the ability and experience to draft clear and
professional correspondence, policies and procedures and other
documents of both legal and business nature. Must be able to
correspond with all regulators and auditors.
- Work with Chief Compliance Officer to ensure appropriate
support as needed for any regulatory matters revolving around the
firm's activities by compiling data and drafting responses.What we
valueThese skills will help you succeed in this role:
- Have an in-depth understanding of evaluating risk and
compliance initiatives and determining regulatory compliance risks
at a global financial institution.
- Analytical/detail-oriented mindset and a good sense of
judgment.
- Self-motivated and able to prioritize workflow and work
independently.Education & Preferred Qualifications
- Bachelors Degree or Higher Required.
- Series 7 and 24 qualifications required (or the ability to
retain within 6 months of hire).
- Minimum of 7 years' experience in securities compliance, legal
or operations.
- Strong knowledge of FINRA, SEC and State Securities rules and
regulations including CAT, TRACE, MSRB, and Electronic Blue
Sheets.
- Knowledge of rules and regulations pertaining to banks or bank
holding companies participating in capital markets.
- Knowledge of CFTC and NFA rules are a plus.What we offerWide
range of benefits, including:
- Medical
- Prescription Drug
- Health Savings Account (HSA)
- Flexible Spending Accounts (FSAs)
- Dental
- Vision
- Employee-Paid Life and Accidental Death & Dismemberment
(AD&D) Insurance
- Employee-Paid Long-Term Disability
- Critical Illness Insurance
- Accident Insurance & Hospital Indemnity Insurance
- Business Travel Accident Insurance
- Short-Term Disability
- Identity Theft Protection
- Legal Benefits
- BeWell Programme
- Paid Time Off
- Employee Assistance Program (EAP)
- Salary Savings Program (SSP)Are you the right candidate? Yes!We
truly believe in the power that comes from the diverse backgrounds
and experiences our employees bring with them. Although each
vacancy details what we are looking for, we don't necessarily need
you to fulfil all of them when applying. If you like change and
innovation, seek to see the bigger picture, make data driven
decisions and are a good team player, you could be a great
fit.About State StreetWhat we do. State Street is one of the
largest custodian banks, asset managers and asset intelligence
companies in the world. From technology to product innovation,
we're making our mark on the financial services industry. For more
than two centuries, we've been helping our clients safeguard and
steward the investments of millions of people. We provide
investment servicing, data & analytics, investment research &
trading and investment management to institutional clients.Work,
Live and Grow. We make all efforts to create a great work
environment. Our benefits packages are competitive and
comprehensive. Details vary by location, but you may expect
generous medical care, insurance and savings plans, among other
perks. You'll have access to flexible Work Programs to help you
match your needs. And our wealth of development programs and
educational support will help you reach your full
potential.Inclusion, Diversity and Social Responsibility. We truly
believe our employees' diverse backgrounds, experiences and
perspectives are a powerful contributor to creating an inclusive
environment where everyone can thrive and reach their maximum
potential while adding value to both our organization and our
clients. We warmly welcome candidates of diverse origin,
background, ability, age, sexual orientation, gender identity and
personality. Another fundamental value at State Street is active
engagement with our communities around the world, both as a partner
and a leader. You will have tools to help balance your professional
and personal life, paid volunteer days, matching gift programs and
access to employee networks that help you stay connected to what
matters to you.State Street is an equal opportunity and affirmative
action employer.Salary Range:$110,000 - $185,000 Annual. The range
quoted above applies to the role in the primary location specified.
If the candidate would ultimately work outside of the primary
location above, the applicable range could differ.Job Application
Disclosure:It is unlawful in Massachusetts to require or administer
a lie detector test as a condition of employment or continued
employment. An employer who violates this law shall be subject to
criminal penalties and civil liability.
#J-18808-Ljbffr
Keywords: STATE STREET CORPORATION, Providence , Compliance Manager, Vice President, Hybrid, Executive , Boston, Rhode Island
Didn't find what you're looking for? Search again!
Loading more jobs...