Chief Compliance Officer (CCO) for Truist Investment Services, Inc. and Truist Advisory Services, Inc.
$200k - $290kTruist
The position is described below. If you want to apply, click the Apply Now button at the top or bottom of this page. After you click Apply Now and complete your application, you'll be invited to create a profile, which will let you see your application status and any communications. If you already have a profile with us, you can log in to check status.Need Help?If you have a disability and need assistance with the application, you can request a reasonable accommodation. Send an email to Accessibility (accommodation requests only; other inquiries won't receive a response).Regular or Temporary:RegularLanguage Fluency: English (Required)Work Shift:1st shift (United States of America)Please review the following job description:The Chief Compliance Officer (CCO) for Truist Investment Services, Inc. and Truist Advisory Services, Inc. is responsible for leading an integrated broker-dealer and SEC-registered registered investment adviser (RIA) compliance program and serving as the primary regulatory-facing executive for the firms. This role partners closely with business leadership and key control functions to implement and maintain a compliance framework that is reasonably designed to ensure adherence to applicable SEC (including Investment Advisers Act requirements), FINRA, and MSRB regulatory requirements.• Regulatory face of the broker-dealer and SEC-registered RIA: Serve as the primary point of contact for regulators and self-regulatory organizations (including the SEC, FINRA, and MSRB), including managing routine interaction, regulatory inquiries, and examinations.• Compliance program design and oversight: Establish, implement, and maintain policies, procedures, and internal controls that are reasonably designed to achieve compliance with applicable securities laws and regulations and firm standards.• Supervision and surveillance: Oversee the supervisory control framework, surveillance program(s), and periodic testing/monitoring to identify, escalate, and remediate compliance risks; ensure timely issue resolution and sustainable corrective actions.• Governance and escalation: Provide clear risk-based guidance to the line of business; escalate material compliance issues and trends through appropriate governance forums and senior management reporting.• Regulatory reporting and rule implementation: Lead assessment and implementation of new or changing SEC/FINRA/MSRB requirements; coordinate updates to procedures, training, disclosures, and controls.• Policies and procedures management: Own the maintenance cycle for compliance-owned written supervisory procedures (WSPs) and related compliance documentation, including periodic reviews and attestations as required.• Training and advisory: Ensure effective compliance communications and training to business partners and registered personnel; provide advisory support on product, sales practice, advertising/communications, and conduct matters.• Risk assessments: Conduct and/or oversee periodic enterprise and broker-dealer compliance risk assessments to inform program priorities, monitoring plans, and resource allocation.• Third-party and vendor oversight: Oversee compliance due diligence and ongoing monitoring for relevant third parties, as applicable to broker-dealer activities.• Team leadership: Lead, develop, and coach a team of compliance professionals; set strategy, goals, and performance expectations aligned to regulatory and business priorities.• Cross-functional partnership: Collaborate with Legal, Risk, Audit, Operations, AML/Financial Crimes, Technology, and other control partners to ensure an integrated control environment and consistent regulatory messaging.• RIA expertise and coordination: Provide compliance leadership for advisory activities within an SEC-registered RIA framework (including Advisers Act obligations such as disclosures, conflicts management, Code of Ethics oversight, and best execution), and coordinate broker-dealer/RIA requirements to promote consistent client outcomes and a cohesive control environment.ESSENTIAL DUTIES AND RESPONSIBILITIESFollowing is a summary of the essential functions for this job. Other duties may be performed, both major and minor, which are not mentioned below. Specific activities may change from time to time. 1.Developing and maintaining a robust compliance program, with a focus on compliance with all laws, regulations, and other guidance related to assigned business and operational activities. 2. Sets strategy and direction of functional area. 3. Scope of coverage may include one or more large business units or compliance functions and management of other managers.4. Identifying and mitigating compliance risks proactively and maintaining a strong regulatory relationship with all applicable regulators.5. Developing sufficient internal controls to promote an effective compliance control environment.6. Performing periodic risk assessments of business and operational activities to identify compliance gaps and potential exposure.7. Partnering with business units to remediate compliance findings identified in internal and external examinations and audits.8. Providing strategic leadership to design and implement compliance standards and procedures to mitigate compliance risks and improper conduct, ensuring these standards are institutional throughout the business units, and monitoring compliance with such standards.9. Provide reports and summaries of compliance risks for aggregation up to Risk Committees.10. Keep pace of demands of business by anticipating problems, offering appropriate solutions and providing the necessary leadership to implement changes effectively.QUALIFICATIONSRequired Qualifications:The requirements listed below are representative of the knowledge, skill and/or ability required. Reasonable accommodations may be made to enable individuals with disabilities to perform the essential functions.1. Bachelor’s degree in Business, Economics, Finance, or Accounting, or an equivalent combination of education and work experience.2. Twelve years of financial industry experience, including extensive compliance/risk management and leadership/managerial experience.3. Substantial broad-based knowledge and experience in applying laws and regulations, designing, managing and overseeing compliance programs and processes and handling regulatory matters.4. Excellent communication and interpersonal skills, as job will require extensive interaction with various business units among multiple disciplines including Senior and Executive Management.5. Ability to communicate and work with various regulatory agencies.6. Attention to detail, accuracy and the ability to manage multiple tasks and deadlines.7. Demonstrated proficiency in basic computer applications, such as Microsoft Office software products.8. Strong analytical, organizational and time management skills.9. Ability to conceptualize and assist in building technology into compliance processes and re-imagine those processes in order to gain efficiency and enhance the strength of the Compliance Management System.10. Solid understanding of risk management processes and risk analysis.11. Advanced knowledge of broad-based compliance regulations.12. FINRA Series 7, 14/24, and 66Preferred Qualifications:1. Master's degree in Finance or Business Administration. Juris Doctor or other applicable advanced degree.2. Fifteen years of compliance, legal or management experience at large financial institution.3. Certified Regulatory Compliance Manager (CRCM)4. Hands-on experience building, enhancing, or overseeing an SEC-registered investment adviser compliance program (e.g., Code of Ethics, best execution oversight, advisory disclosures, and conflicts management).5. Strong retail brokerage compliance leadership experience, including sales practices supervision, registered representative conduct, customer communications/advertising, and branch/field supervision models.6. Experience designing and operating monitoring and surveillance programs using advanced analytics and/or AI (e.g., anomaly detection, behavioral surveillance, alert tuning), including model governance, explainability, validation, and appropriate use controls.7. Experience overseeing retail brokerage product/platform compliance and controls (e.g., mutual funds, ETFs, fixed income, alternatives where applicable), including new product reviews, suitability/sales practice risk assessments, and post-implementation monitoring.8. Demonstrated ability to establish alert governance (threshold setting, tuning, disposition standards, and QA) and data quality controls to improve surveillance effectiveness and reduce false positives.9. Experience operating within a large financial institution with complex governance and multiple legal entities.10. Demonstrated success leading complex SEC and/or FINRA examination responses, including remediation program management and ongoing commitment tracking.11. Deep expertise in retail investor protections and conflicts management, including broker-dealer Regulation Best Interest (Reg BI) program design, surveillance/testing, and RIA disclosure obligations (e.g., Form ADV, CRS) and related governance.12. Experience overseeing advertising and communications review programs (including digital and social media) for broker-dealer and advisory businesses.13. Experience with branch office supervision, OSJ/field supervision models, and supervisory control testing consistent with FINRA expectations.14. Working knowledge of broker-dealer trading/operations and associated controls (e.g., order handling, best execution, communications/recordkeeping, and books & records).15. Demonstrated ability to partner effectively with AML/financial crimes, privacy, and information security teams to support a coordinated risk and controls environment.16. Demonstrated commitment to staying current on emerging technologies and products (e.g., AI-enabled capabilities, digital assets, and prediction markets) and translating evolving regulatory expectations into practical governance, disclosures, and monitoring/surveillance routines.The annual base salary for this position is $200,000 - $290,000.General Description of Available Benefits for Eligible Employees of Truist Financial Corporation: All regular teammates (not temporary or contingent workers) working 20 hours or more per week are eligible for benefits, though eligibility for specific benefits may be determined by the division of Truist offering the position. Truist offers medical, dental, vision, life insurance, disability, accidental death and dismemberment, tax-preferred savings accounts, and a 401k plan to teammates. Teammates also receive no less than 10 days of vacation (prorated based on date of hire and by full-time or part-time status) during their first year of employment, along with 10 sick days (also prorated), and paid holidays. For more details on Truist’s generous benefit plans, please visit our Benefits site. Depending on the position and division, this job may also be eligible for Truist’s defined benefit pension plan, restricted stock units, and/or a deferred compensation plan. As you advance through the hiring process, you will also learn more about the specific benefits available for any non-temporary position for which you apply, based on full-time or part-time status, position, and division of work.Truist is an Equal Opportunity Employer that does not discriminate on the basis of race, gender, color, religion, citizenship or national origin, age, sexual orientation, gender identity, disability, veteran status, or other classification protected by law. Truist is a Drug Free Workplace.EEO is the LawE-VerifyIER Right to WorkJob SummaryJob number: R0113564Profession: Audit, Risk, Legal and Finance
$90k - $125k
...working to make sure our employees love their jobs and are invested in their communities. See how we've been recognized for this... ...The Role in Brief Director, Research and Strategic Advisory Services Focus Area: Higher Education AcademicStrategy Directors...SuggestedWork experience placementImmediate startRemote workFlexible hours$187.3k - $213.7k
Director Compliance Advisory - Personal Loans Corporate Compliance is seeking a Director to join... ...Governance, and the US Card Business Risk Office where needed. Here’s how you’ll... ...of experience in Banking or Financial Services Previous experience in Risk Management...SuggestedFull timePart timeWork at officeLocal areaFlexible hours- ...Chief Compliance Officer (CCO) About the Company A leading nonprofit provider of disability, behavioral health, and community-based support services. Industry Non-Profit Organization Management Type Non Profit About the Role The Company...Suggested
$101.1k - $151.7k
...of James River Group Holdings, Inc. and operates on an approved... ...Accountability, Innovation, Customer Service, Communication, and Teamwork.... .... Manager, Regulatory Compliance Job Summary The Manager,... ...organizational skills Proficiency in MS Office Suite Research, analysis...SuggestedFull timeTemporary workH1bRemote work$75k - $101k
...Richmond, VA and is in office Monday through Thursday... ...field such as IT, audit, compliance, information security,... ...(CC). Experience in a service‑oriented technology... ...incentives. CoStar Group also invests in your professional... ...@costar.com. #J-18808-Ljbffr CoStar Group, Inc.SuggestedFull timeWork at officeWork from homeMonday to Thursday$146.3k - $306.4k
...Description As Director of Compliance & Property Management you... ...oversight, non-critical site services, and long-range property governance... ...administrative operations, office and site-support coordination... ...#401(k) Savings and Investment Plan with company match # Paid...Full timeContract workTemporary workWork at officeLocal areaRelocation packageFlexible hours$151.9k - $173.4k
...Analysis (Hybrid) Our Enterprise Services & Staff Finance team is... ...organization that supports our office footprint strategy and... ...global real estate footprint and investments we make to enhance the... ...committed to non-discrimination in compliance with applicable federal,...Full timePart timeWork at officeLocal area$120k - $130k
...Send an email to Accessibility (careers@truist.com?subject=Accommodation%20request) (... ...following job description: Leads a team of compliance professionals to ensure appropriate... ...and a broad understanding of financial services # Demonstrated experience with regulatory...Full timePart timeWork experience placementShift workDay shift$189.2k - $372.9k
...initiatives. We offer comprehensive end-to-end support and advisory services, covering areas such as valuation modeling, cost optimization... ...and divestitures—helping shape deal strategy, validate the investment thesis, and improve odds of value realization. The team combines...Odd jobWork experience placementLocal area$155.6k - $306.8k
...initiatives. We offer comprehensive end-to-end support and advisory services, covering areas such as valuation modeling, cost optimization... ...and divestitures—helping shape deal strategy, validate the investment thesis, and improve odds of value realization. The team combines...Odd jobWork experience placementLocal area- ...requirements agreed upon in the demand plan and defined inventory service levels. Recommending technical equipment and facility... ...protected by federal and state law. For more information regarding your (EEO) rights as an applicant, visit #J-18808-Ljbffr ABB Inc.Shift work
$68.6k - $109.76k
...requirements agreed upon in the demand plan and defined inventory service levels.Recommending technical equipment and facility... ...make an impact?Apply today or visit to learn more about the impact of our solutions across the globe. #J-18808-Ljbffr BlackBerry Inc.Monday to FridayShift work- ...prior to arrival. Client Management and Service Maintain the complete confidentiality... ...Overnight travel to out-of-town YHB offices, client locations and continuing professional... ...should be rewarded. That is why YHB is investing in our people and fostering a supportive...Remote workFlexible hoursNight shift
- ...railways to data centers, schools, offices and homes, our solutions are... ...management, and technical services to develop targeted messaging... ...! Amrize North America Inc. takes pride in our hiring processes... ...in the United States. In compliance with the ADA Amendments Act (...Full timeFor contractorsLocal areaRemote workFlexible hours
- ...mentoring. At KPMG, we believe nothing is more important than investing in our culture because it is an investment in our people... ...our Tax practice. Responsibilities: Provide tax compliance and advisory services to corporations and operating partnerships for a variety...Local area
$130k
...provider of outpatient radiology and oncology services, partnering with top hospitals and... ...successful candidates come from consulting or advisory backgrounds Preferred Qualifications MBA... ...or external reporting At Akumin, we invest in the well-being of our employees, so...Flexible hours$82.6k - $162.8k
...specifically for long-term, onsite client service delivery. Recruiting for this role ends... ...40 Act and non-40 Act funds in the investment management space (e.g., Form PF, TIC, CPO... ..., Form 13, N-PX, BEA reports), ensuring compliance with applicable regulatory requirements...Local area$151.9k - $173.4k
## Compliance Advisor ManagerApplylocations: McLean, VA: Richmond, VA: Riverwoods, ILtime type... ...partner and providing proactive advisory during the product development lifecycle... ...**Strong knowledge of Card Operations, Servicing, Systems and Platforms****At this time,...Full timePart timeLocal area$142.6k - $261.5k
...technology to improve their operations. This is rooted in EY’s SAP service line capabilities (Supply Chain, FICO, BPC, Data & Analytics,... ...practices, benchmarking, peer company environments and prior advisory experience relevant to industry specific finance and technology...Summer holidayFlexible hours$151.9k - $173.4k
...(Hybrid) Our Enterprise Services & Staff Finance team is seeking... ...that supports our office footprint strategy and budget... ...global real estate footprint and investments we make to enhance the associate... ...to non-discrimination in compliance with applicable federal, state...Full timePart timeWork at officeLocal area$185k - $200k
...monitoring and reporting around strategic initiatives within Truist Audit Services (TAS)ESSENTIAL DUTIES AND RESPONSIBILITIESFollowing is a... ...directors and audit professionals7. Strong proficiency in Microsoft Office products, specifically PowerPoint and Excel8. Demonstrated...Full timePart timeWork at officeShift workDay shift$130k - $145k
...Contribute to, track and report on strategic initiatives within Truist Audit Services.ESSENTIAL DUTIES AND RESPONSIBILITIESFollowing is a summary... ...and audit professionals8. Strong proficiency in Microsoft Office products, specifically PowerPoint and Excel9. Good...Full timePart timeWork at officeShift workDay shift- ...supplies, part of the strategic sourcing team in Richmond, VA. You will analyze data to guide purchasing decisions for outsourced services and supplies, influencing rollout of new tools and technologies. The role requires 5+ years in related analytics with strong SQL/Tableau...
- ...training, inference, vector search, and agentic orchestration. Build usage‑aligned pricing models that scale with compute, GPU, and AI service consumption. Conduct competitive analysis across AI platforms. Develop packaging and SKU strategy for AI platform and add‑ons...Permanent employmentFlexible hours
- ...The Chronicle Of Higher Education, Inc. is seeking a Director for Teaching & Research Faculty Compensation Strategy at the VCU School... ...and manage the compensation framework to promote equity and compliance. Responsibilities include strategic planning and stakeholder engagement...
$120k - $150k
...Contractors and Construction Benefits Medical insurance Vision insurance Pension plan Disability insurance 401(k) Paid paternity leave Paid maternity leave Child care support Tuition assistance Field Service Manager - Electrical Testing (Richmond, VA) #J-18808-Ljbffr...Full timeFor contractors- ...ProspectBlue is partnering with an industry leader in Industrial Services to identify a Director of Financial Planning & Analysis. This highly visible role will own FP&A end-to-end and serve as a strategic partner to the executive team. Reporting directly to the CFO,...Relocation
- ...profitability analysis, and overseeing the budget cycle. The ideal candidate will have over 8 years of experience in professional services, particularly in accounting or consulting. A Bachelor's degree in Finance, Accounting, or Economics is preferred, along with advanced...
$209.6k - $313.38k
...through the Internet Crime Complaint Center at: , or your local authorities. Recruiting Firm Disclaimer Otsuka America Pharmaceutical Inc., Otsuka Pharmaceutical Development & Commercialization, Inc., and Otsuka Precision Health, Inc. (“Otsuka”) does not accept...Temporary workLocal areaFlexible hours$90k - $110.2k
...specifically Excel, Access, and PowerPoint Strong Power BI skills In-depth understanding of SQL/relational databases Strong customer service orientation balanced with adherence to internal controls Demonstrated ability to contribute to broader business strategy...Fixed term contractCasual workFlexible hours
Do you want to receive more vacancies?
Subscribe and receive similar vacancies to Chief Compliance Officer (CCO) for Truist Investment Services, Inc. and Truist Advisory Services, Inc.. Be the first to apply!
- entry level compliance Richmond, VA
- housing compliance Richmond, VA
- finance compliance Richmond, VA
- environmental compliance Richmond, VA
- regulatory compliance analyst Richmond, VA
- customs compliance Richmond, VA
- regulatory compliance specialist Richmond, VA
- dot compliance Richmond, VA
- vendor compliance Richmond, VA
- compliance aml Richmond, VA

