Compliance Lead/ CCO US Assets (New York)
Wise
This job is with Wise, an inclusive employer and a member of myGwork – the largest global platform for the LGBTQ+ business community. Please do not contact the recruiter directly.
Wise is a global technology company, building the best way to move and manage the world’s money.
Min fees. Max ease. Full speed.
Whether people and businesses are sending money to another country, spending abroad, or making and receiving international payments, Wise is on a mission to make their lives easier and save them money.
As part of our team, you will be helping us create an entirely new network for the world's money.
For everyone, everywhere.
More about and .
Since 2011, we’ve had a clear mission: money without borders. Built by and for people who live global lives, we’re the fairest, easiest way to manage money across borders.
Wise is scaling its Assets offering across North America, and we are looking for a Lead Compliance Manager to provide senior compliance leadership and oversight for Wise’s North America Assets entities, including Wise US Assets Inc. and Wise Assets Canada Inc.
This is a critical L7 role responsible for leading the development, implementation, and ongoing oversight of the broker-dealer compliance program for Wise US Assets Inc., while also supporting broader Assets regulatory and operational readiness across North America. The role will provide strong second line compliance challenge, regulatory engagement, governance, and cross-functional advisory support as Wise builds and scales its Assets product.
The successful candidate will operate with a high degree of independence, partnering closely with Legal, Product, Engineering, Banking, Operations, Customer Support, Financial Crime, and senior leadership to embed regulatory requirements into product design, systems, controls, and operating processes.
Your mission:
Lead and scale institutional-grade compliance oversight for Wise’s North America Assets entities by building strong broker-dealer compliance foundations, leading regulatory engagement, supporting licensing and registration outcomes, embedding supervisory and operational controls, and enabling compliant product launch and growth across the U.S. and Canada.
Key responsibilities
In this role, you will serve as the Chief Compliance Officer (CCO) for the U.S. broker-dealer entity, holding ultimate responsibility for its regulatory compliance framework and standing with oversight bodies.
Lead the design, implementation, and ongoing oversight of the compliance framework, policies, procedures, and governance for Wise’s FINRA-regulated broker-dealer. and broader North America Assets activity (including the launch of an investment dealer in Canada).
Own and provide senior 2LoD oversight of the U.S. broker-dealer compliance program, including supervisory controls, Written Supervisory Procedures, books and records, complaints, customer communications, and operational readiness.
Serve as, or support, the designated AML Officer for Wise US Assets Inc., ensuring AML requirements are embedded into relevant processes and risks are appropriately escalated.
Lead regulatory engagement with FINRA, the SEC, state regulators, and other relevant authorities, including examinations, inquiries, filings, remediation, and regulatory communications.
Oversee the state registration and licensing program for Wise US Assets Inc., including submission quality, response management, prioritization, tracking, and launch-readiness dependencies.
Provide senior compliance advice and challenge to Product, Engineering, Legal, Banking, Operations, Customer Support, Financial Crime, and other 1LoD teams to support compliant product design, launch, and scaling.
Build and oversee compliance readiness for customer support, complaints, disclosures, marketing, recordkeeping, business continuity, and other broker-dealer operating processes.
Lead compliance reporting to senior leadership and relevant regional and group governance forums, including risks, issues, metrics, regulatory updates, and launch-readiness status.
Develop and oversee monitoring, testing, issue management, and escalation processes for the broker-dealer compliance control framework.
Support the build-out of sustainable compliance coverage across North America Assets, including mentoring team members and helping shape the future U.S. and Canada operating model.
A bit about you:
You are an experienced compliance leader with deep broker-dealer regulatory knowledge, strong judgment, and the ability to operate independently in a fast-moving, product-led environment.
You can move between detailed regulatory requirements and senior-level strategic decision-making. You are comfortable building compliance frameworks from the ground up, engaging directly with regulators, challenging senior stakeholders, and enabling compliant growth without compromising second line independence.
You are practical, solutions-oriented, highly organized, and able to bring structure to ambiguity.
Qualifications12+ years of relevant experience in broker-dealer regulatory compliance, investment compliance, or equivalent regulated financial services compliance.
Strong working knowledge of FINRA and SEC rules, broker-dealer supervisory expectations, and regulatory examination standards.
Active FINRA Series 7, 24, and 63 registrations required.
Demonstrated experience leading regulatory engagement, including examinations, inquiries, licensing, registrations, approvals, or remediation activity.
Experience building, operating, or materially enhancing a broker-dealer compliance program.
Strong understanding of second line compliance oversight, including independent challenge, escalation, governance, monitoring, testing, and issue management.
Ability to translate complex regulatory obligations into practical, risk-based requirements for Product, Engineering, Operations, Customer Support, and other cross-functional teams.
Experience advising on product launches, operational readiness, customer communications, complaints, books and records, supervisory controls, or similar broker-dealer obligations.
Strong stakeholder management skills, including the ability to work effectively with senior leadership, regulators, external counsel, consultants, and cross-functional teams.
Ability to manage multiple priorities, lead complex workstreams, and deliver outcomes in ambiguity.
Demonstrated ability to mentor others and contribute to the build-out of a sustainable compliance operating model.
Experience with Canadian investment or Assets-related regulatory requirements is a plus, but not required
For everyone, everywhere. We're people building money without borders — without judgement or prejudice, too. We believe teams are strongest when they are diverse, equitable and inclusive.
We're proud to have a truly international team, and we celebrate our differences.
Inclusive teams help us live our values and make sure every Wiser feels respected, empowered to contribute towards our mission and able to progress in their careers.
If you want to find out more about what it's like to work at Wise visit Wise.Jobs .
Keep up to date with life at Wise by following us on LinkedIn and Instagram .
- A digital asset firm is seeking a Head of Compliance in New York. This role involves ensuring regulatory compliance for the firm’s US entity, with direct responsibilities for regulatory engagement, supervisory systems, and compliance program oversight. Candidates should...AssetFlexible hours
$120k - $160k
...protect critical operating assets, improve product quality, minimize... ...possible. The US Export Controls Lead will be responsible for managing... ...Pall Corporation’s Export Compliance program globally. This role... ...who are based outside of New York City or who are applying...AssetPermanent employmentFull timeWork at officeRemote workWork from homeWork visaFlexible hours$170k - $300k
...Sr Group Manager, based in New York City, will report to the Ethics... ...Group Manager and lead a team in the development,... ...Citigroup, its clients and assets, by driving compliance with applicable laws, rules... ...NewYork,UnitedStates Salary US$170,000-$300,000 per year (...AssetWork at office- ...Strategy & Presentations (US CCO Office)Applyremote type... ...Avenue Corporate, New York, New York: Greenville Campus... ...Us?**At TD Bank US Compliance, we're on a mission to... ...insights, and reporting* Lead the Strategic Prioritization... ...physical control of assets)* Participates in cross...AssetTemporary workWork at office
- Analyst/Associate, Scotiabank US Equity Research, Power & Utilities, New York, NY Requisition ID: 2606... ...conducted are in compliance with governing regulations... .../experience would be an asset. Experience using... ...York City Scotiabank is a leading bank in the Americas. Guided...AssetWork experience placementLocal areaFlexible hours
- ...second line of defense, the SG Americas Compliance Department supports the Business Units and... ...activities. SG Americas operates through a New York branch, and other branches and... ...Skills & Knowledge In‑depth knowledge of US banking regulations Experience working for...Work experience placement
- ...Policy and Regulatory Affairs - US, you will lead Elliptic’s public policy and regulatory... ...shaping the future of digital assets. Based in Washington D.C. or New York, you will be Elliptic’s most... ...with confidence, and meet their compliance objectives. Your policy...Asset
$225k - $265k
...focused global digital asset platform that... ...serves as the Chief Compliance Officer for Bullish US Operations, LLC and the... ...Broker‑Dealer Build and lead the broker‑dealer compliance... ...risk arising from new products, markets,... ...responsibility in a senior or CCO‑level role. Deep...AssetWork at office$225k - $265k
...focused global digital asset platform that... ...to: Vice President, Compliance Position Overview This... ...Officer for our US spot trading entity... ...Broker‑Dealer Build and lead the broker‑dealer... ...risk arising from new products, markets,... ...responsibility in a senior or CCO‑level role. Deep...AssetWork at office$176.4k - $207.5k
...Collaborate with cross‑functional leads to support the... ...jurisdiction (e.g. EU, US, UK) for the global development... ...and clinical‑stage assets) in alignment with... ...submissions (e.g. Investigational New Drug Applications(INDs),... ...offices in New York, Montréal, and London, three...AssetOdd jobWork at officeLocal areaImmediate startRemote workWork from home- ...• The Head of Audit, US & EA at GIA plays a pivotal... ...is responsible for leading the GIA Strategy, the role... ...safeguarding the assets, reputation, and sustainability... ...a culture of ethics, compliance, and continuous... ...Americas, including the SCB New York Branch, Standard Chartered...AssetFull timeWorldwide
$110k - $120k
...an empowering one. At Cutover, we lead with empathy and enable others to succeed... ...able and willing to commute to our New York City office on a weekly basis) We... ...5 out of the top 6 largest asset managers and 3 out of the top 5 US banks. What does this role mean to...AssetWork at officeRemote workWork from home- ...advise on nearly $9 trillion in assets. Its open platform integrates... ...worldwide with offices in New York City, Salt Lake City, London,... ...stakeholders after each program. Lead agenda-setting: define session... ...of employment. Please contact us to request accommodation. #J-...AssetWorldwide
$118.25k - $173.1k
...in every relationship, lead with curiosity, champion... ...250 Greenwich Street, New York, NY 10007 Duties: Analyze... ...of the underlying assets, transaction structure,... ...loan documents. For US-based roles only: the anticipated... ...is contingent upon compliance with the Policy,...AssetFull time- Menarini in New York is seeking a Head of US Compliance and Deputy Chief Compliance Officer (ED) to lead the Compliance program for Stemline’s US business. This senior role involves navigating compliance in a high-growth environment while collaborating with various departments...
$130k - $160k
...work saves lives. And each of us plays a part. Fueled by our... ...build an incredible career at a leading science and technology... ...possible. The Policy and Compliance Lead is responsible for developing... ...candidates who are based outside of New York City or who are applying for...Full timeRemote workWork from homeFlexible hours$135k - $165k
...develop interest in a market-leading range of indices, with a particular... ...and Models Portfolios across asset managers, wealth managers,... ...colleagues based in London and New York. Compensation/Benefits Information... ...section is only applicable to US candidates) S&P Global...AssetFull timeLive inWork at officeWorldwideFlexible hours$175.84k - $263.76k
## Lead Counsel, Wealth Capital Markets, VP - New YorkApplyremote type: Hybridlocations: New York New York United Statestime type: Full timeposted on: Posted Yesterdayjob requisition... ...the trading documentation for multi-asset OTC derivatives, Exchange-Traded Derivatives...AssetFull time- QCP is Asia's leading digital asset partner, empowering clients to seamlessly... ...everything that we do. The Head of Compliance will be responsible for... ...compliance program of QCP’s US’s entity which will act... ...examinations, supporting or leading New Member Applications or...AssetCasual workImmediate startFlexible hours
$149.03k - $260.29k
...Global Financial Crimes Compliance Advisory and Export Control... ...as a key advisor for New Product Approval (NPA) and... ...and Functions. Lead cross-functional working... ...section is only applicable to US candidates) S&P Global... ...'s Office of Foreign Assets Control, United Kingdom'...AssetFull timeLive inWork at officeWorldwide$135.2k - $202.8k
...legal counsel, safeguard systems, nurture new initiatives, and more. Every challenge creates... .... You’ll report to a Finance & Strategy Lead within Block's Business Strategic Finance team... ...can sit in any Block office in the US or be remote from any US state with the exception...Work at officeLocal areaRemote work$85k - $110k
Asset & Wealth Management: Risk Management, Analyst - New York YOUR IMPACT We are seeking an Analyst/Associate to join the Global... ..., including the Legal, Compliance, the Risk Division and Controllers... ...temporary, full‑time and part‑time US employees who work at least 20 hours...AssetFull timeTemporary workPart time$105k - $110k
...use real estate. Based in New York City, we own, develop and operate leading properties in urban... ...across all residential asset classes, including market... ...respect and support. Join us on the forefront of innovation... ...mastering regulatory compliance. Collaborate with the...AssetWork at officeWeekend work$115.44k - $186.16k
Job Details Location: New York, New York, United States of America Hours: 40 per week... ...Senior Business Management Specialist, US Operations Compliance, provides direct, day‑to‑day support... ...of materials, insights, and reporting. Lead the Strategic Prioritization process for...Work at officeLocal area$365k
...corporate associate to join its New York or New Jersey offices. This... ...public company reporting and compliance, corporate governance, capital... ...science, technology, and digital asset verticals for innovative... ...geographic market location. #J-18808-Ljbffr DLA Piper LLP (US)Asset- About MetaProp MetaProp is a New York-based venture capital firm focused on the real estate... ...square feet across every real estate asset type and global market. Role Overview MetaProp... ..., investor due diligence processes, and compliance requirements. Experience running...Asset
- ...clients include the world’s leading cryptocurrency... ...unique platform gives us an unparalleled understanding... ...money laundering (AML) compliance software and... ...presence in London, UK, New York City, Singapore and Tokyo... ...already work in the digital assets and/or adjacent segments...AssetRemote workHome office
$125k - $290k
Goldman Sachs Asset Management (GSAM) is one of the world’s leading investment managers. With more than... ...client relationships and win new custom model mandates... ...base salary for this New York, New York, United States-... ...full-time and part-time US employees who work at least...AssetFull timeTemporary workPart time$115k - $270k
AWM, Private Bank, Head of US Deposits, Vice President- New York New York, NY, United... ...The Private Bank, within Asset & Wealth Management, delivers... ...business. This individual will lead a high-performing team and... ...policies, and regulatory compliance across the business....Asset$255k - $300k
...Join us in building the future of finance... ...$124 trillion of assets will be inherited... ...(RHD) Compliance team oversees regulatory... ...compliant launch of new products. You... ...Compliance Officer (CCO) of RHD, you will lead the design,... ...Chicago, IL or New York, NY office(s), with...AssetWork at officeFlexible hoursShift work
Do you want to receive more vacancies?
Subscribe and receive similar vacancies to Compliance Lead/ CCO US Assets (New York). Be the first to apply!
- chief compliance officer New York, NY
- asset manager - commercial real estate New York, NY
- asset protection investigator New York, NY
- software asset management analyst New York, NY
- asset protection associate New York, NY
- asset protection New York, NY
- senior fixed asset accountant New York, NY
- asset finance New York, NY
- asset protection specialist New York, NY
- asset management associate New York, NY






