Compliance Manager, Broker-Dealer & Investment Adviser
Gusto
Compliance Manager, Broker-Dealer & Investment AdviserThe Compliance Manager, Broker-Dealer & Investment Adviser is an essential member of the Gusto Retirement Compliance Team, reporting to the Compliance Lead (Director). This role is the operational engine of the compliance program — owning execution, testing, surveillance, and day-to-day program management across both the RIA and BD entities.In this role, you would assist in supervising the compliance programs (including the governance of AI tools used across the compliance program), drive exam readiness, and ensure the program is running effectively, documented thoroughly, and defensible under SEC and FINRA scrutiny. This is not a policy-only role, and it is not a passive-user-of-technology role. It requires someone who can move fluidly between strategic oversight and hands-on execution, who understands what it means to carry a compliance program in a regulated financial services environment, and who can serve as a supervisory principal over compliance and AI, ensuring tools are deployed lawfully, outputs are validated, and the program evolves alongside regulatory expectations.Here's what you'll do day-to-day:Lead and maintain FINRA state registration obligations across all required jurisdictionsSupport employee registration filings including U4, U5, fingerprints, and background checksOwn and execute the compliance calendar — track deadlines, drive timely completion, and escalate to the Compliance Lead as neededLead the annual review and testing cycle across all compliance program areas: advertising, complaints, AML, trade errors, books and records, vendor due diligence, cyber, OFAC, gifts and entertainment, fees and expenses, and moreOwn electronic communications surveillance in Global Relay including keyword configuration and user accessLead advertising and collateral approval including FINRA submissions, the advertising log, and annual advertising trainingOwn Code of Ethics attestation cycles, desktop procedure management, and client agreements and disclosures reviewAssist the Compliance Lead with regulatory filings including ADV and CRSCreate and administer compliance training materials across key program areasManage compliance tools including user management, brokerage feed links, and ongoing configurationContribute to AI-focused enhancements to the compliance program and identify automation opportunitiesServe as liaison with the Firm's compliance consulting firm and support the Compliance Lead on regulatory exams, regulator requests, and upmarket initiativesHere's what we're looking for:5+ compliance experience at a FINRA-registered broker-dealer and SEC-registered investment adviser, with deep working knowledge of FINRA Rules, the SEC Rules (including the Marketing Rule, Reg S-P and Reg S-ID), GLBA, and Bank Secrecy ActRunning supervisory control testing and advertising review across both RIA and BD entitiesFamiliarity with compliance technology (e.g., ComplySci, Global Relay), books and records obligations under Rules 17a-4 and 204-2, and AI governance frameworks in a regulated environmentHands-on experience executing compliance testing programsStrong written communication skills — able to document compliance work to withstand regulatory scrutinyActive SIE, Series 7, and Series 24 licensesAbility to manage multiple programs and workstreams simultaneously in a lean, high-accountability teamFamiliarity with AI tools in a compliance context and a clear understanding of where human oversight is non-negotiable
$110.64k - $136.46k
...experience requirements vary by role and will be assessed during the interview process. About The Role The Compliance Manager, Broker-Dealer & Investment Adviser is an essential member of the Gusto Retirement Compliance Team, reporting to the Compliance Lead (Director)...SuggestedFull timeWork at officeLocal area2 days per week3 days per week$180k - $260k
...We respect the realities of investing as it actually works, and challenge... ...two regulated entities: a broker-dealer and a registered investment... ...we're adding a second Chief Compliance Officer to take on one of... ...regulators for your entity; manage exams, inquiries, and...SuggestedRemote workFlexible hours- Gusto is hiring a Compliance Manager for their team in New York. This pivotal role involves supervising compliance programs and ensuring operational efficiency within the Gusto Retirement Compliance Team. Successful candidates will need a minimum of 5 years compliance...Suggested
$290k - $335k
...making, and hedging and investment solutions. It has a... ...funds and asset managers. With more than 40 offices... ...financial landscape, Compliance has become... ...Summary The Head of Broker Dealer Compliance is an expert... ...addition, this role advises individuals within the...SuggestedFull timeWorldwide$265k - $305k
...Senior Vice President to lead Legal and Compliance for its broker-dealer, responsible for overseeing regulatory... ...activities. This high-impact role includes managing FINRA interface, drafting fund distribution agreements, and advising senior stakeholders. The ideal...Suggested- ...leading financial technology and alternative investment platform is seeking two Vice Presidents to join... ...while the second will focus on the Independent Broker-Dealer channel. These individuals will be responsible for managing and expanding established enterprise...Home office
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$98.78k - $121k
...About the Role: The Broker-Dealer Operations Associate will be... ...the accuracy and regulatory compliance of Gusto's broker/dealer subsidiary... ...-dealer or registered investment adviser environment. ~ Required... ...meticulous attention to detail to manage daily, monthly, and...Daily paidFull timeWork at officeLocal area2 days per week3 days per week$220k - $250k
...company that offers investing, savings and retirement... ...Leader for our Broker-Dealer division (Custody, Trading... ...the foundational asset management systems behind $70+... ...closely with Legal, Compliance, Operations and Capital... ...: retail clients, advised clients, and 401(k) participants...Temporary workSummer holidayWork at officeLocal areaFlexible hours- ...Trade Surveillance Principal Associate (Broker-Dealer & Swap Dealer)We are seeking a highly... ...complex trading activity, and ensure ongoing compliance with SEC, FINRA, CFTC, and NFA... ...Stuffing, Front-Running: Pinging, Escalation Management.Formally escalate high-risk trading...
$120.8k - $137.9k
...Trade Surveillance Principal Associate (Broker-Dealer & Swap Dealer) About the Role We... ...complex trading activity, and ensure ongoing compliance with SEC (Securities and Exchange... ...Stuffing, Front-Running: Pinging, Escalation Management: Formally escalate high-risk trading...Full timePart timeLocal area- ...and fast-growing New York Self Clearing Broker-Dealer seeks an experienced Chief Risk Officer... ..., CFO and CCO as part of the Executive Management team. Your Role: As the Chief... ...from start date) ~ Working knowledge of investment products and services offered by a broker...Remote work
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...company is seeking a highly skilled Trade Surveillance Manager to enhance its surveillance program across Broker-Dealer and Swap Dealer activities. This role involves leading daily operations and ensuring compliance with regulatory requirements, while also managing and...$99.4k - $142k
...Senior Associate, Trading Operations (Broker Dealer) This role is required to be in person... ...for trading eligibility Partner with Compliance, Finance, Product and Engineering teams... ...systems Intermediate skills in SQL and managing large data sets FINRA Series 99 required...Work at officeRemote workFlexible hours- Horace Mann is seeking a Compliance Examiner - Broker Dealer to conduct on-site and remote examinations, review client files, trade blotters, and compliance materials. The role emphasizes risk identification, reporting, and collaboration with the Chief Compliance Officer...Remote job
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Broker Dealer Regulatory Reporting QA - Vice President Broker Dealer Regulatory... ...Reporting Quality Assurance Manager to join its specialized... ...accuracy, completeness, and compliance with regulatory instructions... ...Services, Accounting, and Investment Banking Referrals increase...Full timeWork at officeRemote work- ...Services (IHS), Inc. Position Title Agency Broker / Self-Direction Broker Location Albany,... ...budgets and services while ensuring compliance with OPWDD regulations and person-centered... ...collaboratively with families, care managers, Fiscal Intermediaries, and community providers...Full timePart timeWork at officeFlexible hours
- 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...
$200k - $240k
...seeking a seasoned relationship management and business development... ...experience in alternative investments to help expand the... ...particularly across Independent Broker Dealers (IBD). This role will understand... ...a focus on scalability, compliance, and operational efficiency...Full timeWork at officeRemote work- ...Treasury, lead ALM matters relating to the broker‑dealer balance sheet monitoring and explaining changes and related management reporting Drive initiatives to support the... ...and liquidity position of the entity Ensure compliance with all limits, escalating and remediating...Flexible hours
$90k - $125k
...world of institutional investing, StoneX Group is made... ..., research, and management technology. Responsibilities... .../financial crime compliance and regulatory... ...Officer covering the Broker‑Dealer (BD) Securities Division... ...customer‑related matters; advising on CIP/KYC/CDD and...$150k - $185k
Purpose of Role Marex is a seeking a Broker-Dealer Compliance Advisor (focusing on Equities and Options) who is meant to be a subject matter... ...service provides access to all major exchanges, order-flow management via screen, voice and DMA, plus award-winning data, insights...Immediate start$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... ...the Vice President, Head of Broker/Dealer Compliance in managing the compliance program of the Company's broker/dealer...Work at office- Betterment is seeking a Product Leader for its Broker-Dealer division to own foundational asset management systems handling $70B+ in assets for 1M+ clients. You... ...regulated domain. You’ll partner with Legal, Compliance, Operations and Capital Markets to navigate requirements...
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