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Compliance Advisory Officer

$175k - $225k

Larson Maddox

Hybrid | New York City, NY Base Salary: $175,000 - $225,000 + Bonus

About the Opportunity

Compliance Advisory Officer

Hybrid | New York City, NY Base Salary: $175,000 - $225,000 + Bonus

About the Opportunity

A growing global financial services firm is seeking a Compliance Advisory Officer to join its U.S. Compliance team. This individual will serve as a trusted advisor to business stakeholders, providing regulatory guidance across a FINRA-regulated broker-dealer platform and supporting a broad range of capital markets and cross-border activities.

This is a highly visible role offering regular interaction with senior leadership, involvement in strategic business initiatives, and the opportunity to contribute to an established compliance program within a dynamic international environment.

Key Responsibilities
  • Provide day-to-day compliance advisory support to broker-dealer and capital markets business lines.
  • Interpret and advise on applicable SEC and FINRA regulations, including cross-border securities activities.
  • Partner with business stakeholders to identify, assess, and mitigate regulatory and compliance risks.
  • Support new products, business initiatives, transactions, and strategic projects from a compliance perspective.
  • Oversee AML/KYC processes, customer due diligence, and related compliance controls.
  • Maintain oversight of books and records requirements, employee compliance monitoring, and regulatory obligations.
  • Support licensing and registration activities.
  • Assist with administration and enhancement of the firm's AML program.
  • Oversee personal trading surveillance and employee compliance monitoring processes.
  • Coordinate regulatory examinations, audits, inquiries, and remediation efforts.
  • Draft, review, and enhance compliance policies, procedures, and controls.
  • Provide guidance on information barriers, conflicts management, and market conduct requirements.
  • Monitor regulatory developments and communicate impacts to relevant stakeholders.
  • Deliver compliance training and regulatory awareness initiatives.
  • Prepare management reporting related to compliance risks, trends, and regulatory developments.
  • Collaborate with Legal, Risk, Operations, Technology, Surveillance, and other control functions.
  • Support and mentor junior compliance team members as needed.
Qualifications
  • FINRA Series 14 or Series 24 license required.
  • Strong compliance advisory experience within a FINRA-regulated broker-dealer, investment banking, capital markets, or related financial services environment.
  • Demonstrated knowledge of SEC and FINRA regulations.
  • Experience supporting securities, institutional brokerage, capital markets, or cross-border business activities.
  • Knowledge of AML/KYC requirements, employee compliance programs, conflicts management, and regulatory risk frameworks.
  • Experience managing regulatory examinations, audits, and compliance oversight activities.
  • Professional certifications such as CAMS, CRCM, or similar credentials are a plus.
  • Ability to effectively communicate and partner with senior business and control function stakeholders.
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Vacancy posted 2 days ago
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