AML Advisory Team Lead - Broker-Dealer Securities Division
$90k - $125kStoneX Group
Overview Connecting clients to markets – and talent to opportunity. With5,400+ employees and over80,000institutional,commercial,andpaymentsclients, we operate from more than80 offices spread across six continents. As a Fortune 100, Nasdaq-listed provider, we connect clients to the global markets – focusing on innovation, human connection, and providing world‑class products and services to all types of investors. Whether you want to forge a career connecting our retail clients to potential trading opportunities, or ingrain yourself in the world of institutional investing, StoneX Group is made up of four business segments that offer endless potential for progression and growth. Institutional: Immerse yourself in the best-in‑class institutional‑grade technology, working alongside industry experts and gaining exposure to various asset classes, such as equities, options, fixed income securities, and advanced trading, research, and management technology. Responsibilities The AML Department manages the anti-money laundering/sanctions/financial crime compliance and regulatory obligations applicable to the Firm’s businesses. We are looking for an experienced Anti‑Money Laundering/Financial Crime Compliance subject matter expert specifically dedicated to supporting the Chief AML Officer covering the Broker‑Dealer (BD) Securities Division. In this role, the AML Advisory Team Lead will be responsible for handing day‑to‑day coverage associated with the AML Compliance Program (AML Program) factoring in industry “best practices” and providing guidance to the front office and cross‑department stakeholders. This position will involve, among other tasks, responding to the front office inquiries regarding customer‑related matters; advising on CIP/KYC/CDD and other AML requirements; analyzing enhanced due diligence (EDD) reviews to evaluate customer risk and providing clearance; handling activity and adverse media alert escalations for further review; working with independent auditor(s) and regulators to provide information being requested. The role will also include evaluating current policies and processes on a periodic basis and working with other AML team members on joint projects to enhance the overall AML Program as needed. Primary Responsibilities include but are not limited to: Maintaining an in‑depth understanding of how Bank Secrecy Act (BSA)/USA PATRIOT Act, OFAC/Sanctions, FinCEN, and FINRA/SEC requirements apply in practice to all aspects of the Clearing (Direct and Indirect) and Wealth Management business lines in the BD Securities Division. Supporting the AML advisory function for the respective business line coverage (CIP/KYC/CDD onboarding, front office, operations/treasury, etc.). Handling and resolving AML escalations from the front office, CIP/KYC/CDD onboarding, operations/treasury, as well as other AML functions such as Transaction Monitoring (TM). Reviewing EDD escalations and evaluating complex account structures, issues, and transactions. Ensuring timely completion of assigned cases and escalation of issues that require AML management attention and/or review. Assisting with updating relevant policies and procedures Compiling and providing materials requested during independent audits and regulatory exams. Reviewing and providing feedback on complex or high‑risk KYC cases, ensuring adherence to internal policy, regulatory standards, and quality benchmarks. Acting as a point of escalation for CIP/KYC/CDD and EDD Reviews and keeping an ongoing dialogue with onboarding team on a regular basis. Performing other duties as assigned by your line manager Providing ad hoc training & guidance on CIP/KYC/CDD requirements as needed; establish escalation path Collaborating with other AML stakeholders and first line functions connection with projects to enhance the existing AML Program. Qualifications Strong experience in AML and related AML, OFAC/Sanctions, FinCEN, and FINRA/SEC regulations and requirements. Must have at least 5 years of direct experience in AML specifically dedicated to the Business Line Advisory, KYC/CDD, or Enhanced Due Diligence & Investigations. Must have experience with the broker‑dealer correspondent clearing business (direct and indirect) line and understanding of the application of an AML Program to the relevant products or services involved. Experience advising financial services front office teams, particularly with respect to HNW and UHNW customers, in connection with complex AML‑related matters. A strong collaborative and positive team spirit, with the ability to foster good working relationships within the AML team, as well as with other departments. Must be able to clearly communicate effective and practical solutions in response to AML issues escalated from the front office and other relevant stakeholders. Good execution skills with attention to detail and focus on clear, realistic action steps and timelines. Ability to make timely and effective decisions by appropriately assessing AML risk and exercising good judgement. CAMS designation preferred or must obtain with 12 months from hire. Hiring Salary Range $90,000 -$125,000 (Salary to be determined by the education, experience, knowledge, skills and abilities of the applicant, internal equity and alignment with market data.) Subject to business performance and recommendations of management, this role may be eligible to participate in an incentive compensation plan. This compensation package, in addition to a full range of medical, financial, and/or other benefits, dependent on the position, is offered. #J-18808-Ljbffr StoneX Group
$90k - $125k
...equities, options, fixed income securities, and advanced trading,... ...technology. Responsibilities The AML Department manages the anti-... ...Chief AML Officer covering the Broker-Dealer (BD) Securities Division. In this role, the AML Advisory Team Lead will be responsible for...Suggested- StoneX Group is seeking an AML Advisory Team Lead in New York to oversee the AML Program across BD Securities and Wealth Management. You will guide CIP/KYC/CDD processes, perform EDD reviews, and liaise with front office and regulators on complex cases. Candidates should...Suggested
$200k - $250k
...considered for this role. Broker-Dealer Chief Compliance... ...Overview A leading financial services organization... ...investment advisory compliance team to ensure compliance... ...reviews, including securities transaction reviews.... ...regulatory reviews. Oversee AML, KYC, and Customer...SuggestedWork at officeRemote workRelocation package- Securities and Exchange Commission seeks an Attorney-Advisor (Regulatory Counsel) for the Broker-Dealer Exchanges Program (BDX) in New York, NY. The role supports nationwide examinations of broker-dealer entities and investment advisers under securities laws. Qualifying...Suggested
- ...is seeking an experienced Anti-Money Laundering Advisory Team Lead to support the Broker-Dealer Securities Division with CIP/KYC/CDD onboarding, EDD reviews, and regulatory... ...to front office inquiries, provide practical AML guidance, and collaborate across departments to...Suggested
- Betterment is seeking a Product Leader for its Broker-Dealer division to own foundational asset management... ...B+ in assets for 1M+ clients. You will lead PMs across custody, trading, and market... ...requirements, while mentoring a team and delivering scalable, efficient platform...
$97.9k - $146.8k
Mutual of America Financial Group Lead Compliance, Broker / Dealer Location Boca Raton, FL (hybrid) or New York, NY (hybrid) Who We Are At Mutual... ...build the assets they need to achieve greater financial security. Our Company is built upon a solid foundation of integrity...Work at office$120.8k - $137.9k
...Surveillance Principal Associate (Broker-Dealer & Swap Dealer) About the... ...surveillance monitoring, lead deep-dive investigations... ...ongoing compliance with SEC (Securities and Exchange Commission), FINRA... ...effectively with Compliance Advisory, Product, Technology, Risk,...Full timePart timeLocal area$110.64k - $136.46k
...their customers. With teams in Denver, San Francisco... ...The Compliance Manager, Broker-Dealer & Investment Adviser is... ...to the Compliance Lead (Director). This role is... ...advertising, complaints, AML, trade errors, books and... ...than a Gusto office, a secure, reliable, and consistent...Full timeWork at officeLocal area2 days per week3 days per week- Salient Group seeks a seasoned Compliance leader to own the broker-dealer's regulatory relationships, from AML program oversight to FINRA and SEC examinations. The role sits at the nexus of Compliance, Operations, Technology, and Risk, translating complex regulations into...
- ...Surveillance Principal Associate (Broker-Dealer & Swap Dealer) We are... ...surveillance monitoring, lead deep-dive investigations into... ...ongoing compliance with SEC (Securities and Exchange Commission), FINRA... ...effectively with Compliance Advisory, Product, Technology, Risk,...
- Wise is seeking a Lead Compliance Manager in New York to provide senior compliance leadership for its North America Assets. This... ...candidate should have over 12 years of relevant experience in broker-dealer regulatory compliance, strong knowledge of regulatory standards...
$98.78k - $121k
...focus on their craft and customers. With teams in Denver, San Francisco, and New York,... ...philosophy . About the Role: The Broker-Dealer Operations Associate will be a vital member... ...and resolve discrepancies in the security count held by the Broker-Dealer against...Daily paidFull timeWork at officeLocal area2 days per week3 days per week$220k - $250k
...About Betterment Betterment is a leading, technology-driven financial services company... ...small and medium-sized businesses. Our team is passionate about our mission, to... ...live better. As Product Leader for our Broker-Dealer division (Custody, Trading, and Market Data), you...Temporary workSummer holidayWork at officeLocal areaFlexible hours- ...Regulatory Reporting SME to support a UK-based entity finance team on U.S. security-based swap dealer reporting. You'll own the technical side of FOCUS... ...regulatory interpretation You have: 5+ years in U.S. broker-dealer regulatory reporting Hands-on FOCUS, NLA, and 15...
$158.31k - $193.49k
...from Day One.Job DescriptionThe Healthcare Revenue Cycle Advisory and Solution Engineering Team Lead reports to the PMI Healthcare Head and operates as a... ...Anti-Money Laundering, Bank Secrecy Act, information security, and suspicious activity reporting requirements, policies...Full timeLocal area- PIMCO Ltd. - Pacific Investment Management Company, based in New York, seeks a Senior Vice President to lead Legal and Compliance for PI's broker‑dealer operations. You will shape the compliance framework and supervise FINRA‑related activities to support distribution of...
- ...Compliance Manager, Broker-Dealer & Investment Adviser The Compliance Manager, Broker... ...of the Gusto Retirement Compliance Team, reporting to the Compliance Lead (Director). This role is the... ...program areas: advertising, complaints, AML, trade errors, books and records,...
- Stoke Space is seeking a Security Administrator to join our mission-driven team building Nova, our fully and rapidly reusable launch vehicle, and to protect our infrastructure, engineering environments, and aerospace data. You will implement security controls across cloud...
- Hold Brothers Capital, LLC is seeking a CFO/FINOP to oversee accounting and regulatory filing functions for a self-clearing broker‑dealer. The role reports to the CEO and entails hands‑on day‑to‑day accounting, financial reporting, payroll, reconciliations, tax filings,...
$1,000 per day
A leading consulting firm is seeking an experienced Compliance Officer to oversee regulatory governance within a U.S. broker-dealer. The role focuses on maintaining compliance across Operations, Treasury, and Finance interfaces. Key responsibilities include managing the...Contract workWork at office- TD Securities in New York seeks an experienced VP to lead its Broker-Dealer Regulatory Reporting. You will own the preparation, review, and oversight of SEC financial responsibility reporting, including 15c3-1 net capital and 15c3-3 customer protection calculations, partnering...
- ...leadership and shape a robust compliance framework aligned with securities regulations. You will oversee monitoring, supervisory reviews,... ...improvements across the program. Strong collaboration with business teams and a deep understanding of regulatory developments #J-18808-...
- ...Betterment seeks a Product Leader for its Broker-Dealer division (Custody, Trading, and Market Data) to own foundational asset management systems behind $70+ billion in assets for 1M+ clients. You will lead PMs delivering client/advisor capabilities while ensuring scale...
- Join the NA Broker Dealers and Market Structure Payments Sales team!As a Payments Sales Manager (PSM) Executive Director within... ...market with strong experience in AML/KYC risk and control process.... ...leader across banking, markets, securities services and payments. Corporations...Overseas
- A leading IT services company is seeking a Lead IT Security Administrator for a fully remote position. The successful candidate will handle the security administration of systems, manage user identities, and ensure adherence to security procedures. A minimum of 1-2 years...Remote job
$130k - $177k
...Services client is seeking a Business Analyst to join our Broker Dealer Back Office team, with a focus on Transaction Lifecycle Management (TLM)... ...income, equity, repo, tri‑party agreements, derivatives, and securities lending. Our ideal candidate will have deep expertise in...Contract workH1bLocal areaRelocation3 days per week- McDermott Will & Schulte seeks an attorney with a substantive focus on broker-dealer regulation to join its regulatory practice in New York. The role involves advising on complex securities matters for leading financial institutions. You will counsel on Securities Exchange...
- ...strengthen the firm's compliance framework in alignment with applicable securities industry regulatory obligations. Provide strategic oversight of... ..., and implement process improvements where necessary. Lead regulatory engagement activities, including examination support...
- ..., Associate General Counsel, Broker-Dealer Regulatory Compliance About... ...broker & financial advisory firm Industry Financial... ...in the corporate legal advice team, providing strategic legal and... ...responsibilities for this position include leading a team of experienced...
Do you want to receive more vacancies?
Subscribe and receive similar vacancies to AML Advisory Team Lead - Broker-Dealer Securities Division. Be the first to apply!
- group creative director New York, NY
- healthcare team leader New York, NY
- compliance team leader New York, NY
- integration team lead New York, NY
- team coordinator New York, NY
- clinical nurse leader New York, NY
- mobile team lead New York, NY
- group finance manager New York, NY
- team leader full time New York, NY
- executive team lead asset protection New York, NY



