Compliance Lead, Broker-Dealer & Investment Adviser
$156.17k - $192.61kGusto
Locations: Denver, CO; San Francisco, CA; New York, NY About Gusto At Gusto, we're on a mission to grow the small business economy. We handle the hard stuff — payroll, health insurance, 401(k)s, and HR — so owners can focus on their craft and their customers. With teams in Denver, San Francisco, and New York, we support more than 500,000 small businesses nationwide and are building a workplace that reflects the people we serve. Compensation & Benefits Competitive base pay, benefits, and equity (RSUs) are offered to all full‑time employees. Salary ranges: Denver & most major metro locations: $156,170/yr to $192,610/yr; San Francisco & New York: $183,830/yr to $226,724/yr. Final offers are determined by location, experience, and expertise. AI and Technology AI is a fundamental part of how work gets done at Gusto. All team members are expected to engage with AI tools relevant to their role and grow their fluency as technology evolves. AI experience requirements vary by role and are assessed during the interview process. Role Overview The Compliance Lead, Broker‑Dealer & Investment Adviser is a senior member of Gusto’s Retirement Compliance Team, reporting directly to the Head of Compliance. This role owns the compliance programs of the Registered Investment Adviser (RIA) and Broker‑Dealer (BD) entities, including their AI governance frameworks, and serves as a trusted senior member of the RIA/BD Compliance team. Key Responsibilities Own and mature the end‑to‑end compliance program across both the BD and RIA, ensuring frameworks, controls, and infrastructure—including AI governance—keep pace with Gusto’s growth. Serve as the primary compliance lead on all FINRA and SEC regulatory matters, including filings, examinations, supervisory control testing, and evolving regulatory guidance on AI use in compliance programs. Lead and develop relationships with compliance consulting firms, directing their work across both entities and ensuring coverage aligns with Gusto’s risk posture. Build and maintain policies and procedures across both entities, covering advertising, Reg S‑P, complaints, books and records, BCP, Code of Ethics/Conduct, trade errors, and more. Own incident management and escalation, including compliance violations, whistleblowing, and heightened supervision, and report trends to the Head of Compliance. Partner cross‑functionally with Legal, Product, Finance, Marketing, Sales, and FinCrime to embed compliance into how Gusto builds and sells. Supervise AI tools used across the compliance program, ensuring outputs are validated by qualified licensed humans, identifying opportunities to expand team capacity, and flagging functions where AI use is not permitted. Lead training programs and annual compliance meetings for both BD and RIA, and own the advertising and communications review process. Assess whether resources, controls, and coverage are sufficient as Gusto scales into new markets and up‑market customer segments. Oversee all firm filings, employee registrations and licensing across the BD and RIA—including U4/U5, fingerprints, background checks, CRD, Form CRS, Form BD, ADV, and more. Lead suitability, rebalancing, and custody review and testing for the RIA, including coordination of the annual Surprise Custody Exam. Qualifications 7+ years of compliance experience at a FINRA‑registered broker‑dealer and SEC‑registered investment adviser, with deep knowledge of FINRA Rules, SEC Rules (including the Marketing Rule, Reg S‑P, and Reg S‑ID), GLBA, and the Bank Secrecy Act. Proven track record owning regulatory filings (Form BD, ADV, U4/U5, CRS), leading exam preparation and response, and running supervisory control testing and advertising review across both RIA and BD entities. Familiarity 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 environment. Strong written communication skills with the ability to draft, own, and defend compliance documentation under regulatory scrutiny and comfortable managing multiple programs in a lean, high‑accountability team. Active SIE, Series 7, and Series 24 licenses. Experience at a fintech‑integrated RIA/BD, comfortable working at the intersection of technology, product, compliance, and AI governance. Experience with outsourced compliance models (e.g., third‑party consulting firms). Prior experience managing compliance staff. Legal Gusto is proud to be an equal‑opportunity employer. We do not discriminate in hiring or any employment decision based on race, color, religion, national origin, age, sex, marital status, ancestry, physical or mental disability, genetic information, veteran status, gender identity or expression, sexual orientation, or other legally protected characteristics. Gusto considers qualified applicants with criminal histories, consistent with applicable federal, state, and local law. Gusto is also committed to providing reasonable accommodations for qualified individuals with disabilities and disabled veterans in our job application procedures. If you require a medical or religious accommodation at any time throughout your candidate journey, please fill out this form and a member of our team will get in touch with you. #J-18808-Ljbffr Gusto
$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 expert in U.S. Broker-Dealer regulation providing compliance advisory services, with a strong background on Equities and Listed...SuggestedImmediate start- A digital asset firm is seeking a Head of Compliance in New York. This role involves ensuring regulatory compliance for the firm... ...should have 8-12 years of compliance experience in broker-dealers or investment banks, with relevant licenses preferred. Join a collaborative...SuggestedFlexible hours
- ACG Texas, based in New York, is seeking an experienced Chief Compliance Officer. The ideal candidate will have a minimum of five years in a senior compliance role within a Self-Clearing Broker Dealer and extensive knowledge of regulatory requirements and compliance management...Suggested
$159.4k - $181.9k
...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 developing a team of...Suggested- Larson Maddox is seeking a Regulatory Reporting Specialist in New York, NY. This role involves daily customer and PAB reserve calculations, preparation and analysis of FOCUS reports, and collaborating with front-office, operations, and control teams on regulatory matters...Suggested
- ...from time to time. Requirements: • Relevant experience in Broker-Dealer Risk Department. • University degree with major in Risk... ...or 3 years related industry experience, Finance, Economics, Investment or related disciplines. • Knowledge in data processing, evaluation...
$94k - $127k
A financial services firm is seeking a Compliance Officer to oversee the Swap Dealer Compliance Program. Responsibilities include managing compliance with CFTC, NFA, and SEC regulations, conducting surveillance program reviews, and responding to regulatory inquiries. Candidates...- ...FINOP / Broker-Dealer Regulatory Reporting Consultant Our client is seeking a FINOP / Broker-Dealer Regulatory Reporting Consultant... ...environment Prepare, review, and/or sign FOCUS reports Support compliance with SEC Rule 15c3-3 and related broker-dealer regulations...Permanent employment
$200k - $225k
...Head Of Broker Dealer Compliance DriveWealth is on a mission to make investing easier. We believe that everyone should have the ability... ...Compliance Officer, you will lead initiatives to strengthen the... ...Business Advisory: Advise business units on regulatory obligations...Full timeWork at officeWorldwide$151.9k - $173.4k
Broker Dealer Advisory Manager Job Description Compliance Risk Manager will support Capital One’s broker dealers compliance program. Compliance Risk Managers... ...including, but not limited to mergers and acquisitions, investment banking, underwriting, equity sales, trading and...Full timePart timeWork at officeLocal areaFlexible hours- ...Job Description Job Description Self-Clearing Broker Dealer seeks experienced Chief Compliance Officer with a minimum of 5 years of experience working for... ...a team that is responsible for registrations and lead the following: coordination of broker-dealer audits, inspections...
$200k - $250k
...Institutions Overview Houlihan Lokey, Inc. (NYSE:HLI) is a leading global investment bank recognized for delivering independent strategic and... .... 1 investment bank for all global M&A transactions. Broker-Dealer and Capital Markets Coverage Group Houlihan Lokey's...Internship$70.6k - $139.8k
.... That's why we continuously invest in innovative ideas, such as... ...Associates with experience in the Broker Dealer industry vertical. As an... ..., you will further learn to lead, gain deep industry insight,... ...integrity at all times. In compliance with federal law, all persons...Local areaWorldwideHome office- Howard-Sloan Search is looking for a compliance leadership professional in New York, NY, to ensure adherence to FINRA and SEC regulations governing broker-dealer activities. The role involves designing and maintaining robust compliance programs, overseeing regulatory reporting...
- Gusto is seeking a Founding Operations Leader in New York to architect in-house broker-dealer operations. This pivotal role requires establishing operational objectives, ensuring compliance with FINRA/SEC standards, and building a high-performing team focused on operational...
- A leading broker-dealer firm is seeking a Compliance Analyst to join their small team. The ideal candidate will have 1-3 years of experience in broker-dealer compliance, assisting in surveillance of trading activity, updating policies, and handling regulatory reporting...
$265k - $305k
PIMCO is seeking a Senior Vice President to lead Legal and Compliance for its broker-dealer, responsible for overseeing regulatory compliance and distribution... ..., drafting fund distribution agreements, and advising senior stakeholders. The ideal candidate will possess...- ...years of experience in U.S. securities back-office operations and an understanding of Japanese securities management. The role includes providing feedback to product development teams and ensuring compliance with regulatory reporting. #J-18808-Ljbffr Framework VenturesRemote jobWork at office
- A leading global financial services organization seeks a seasoned executive for Operational Risk Management in New York. The role involves overseeing risk management frameworks, ensuring adequate controls, and driving operational insights in the sales and trading sectors...
$165.7k - $189.2k
A financial institution is seeking a Broker Dealer Advisory Manager in New York. The role involves supporting compliance programs, managing conflicts of interest, and conducting office inspections. Strong analytical and communication skills are essential, along with a bachelor...Work at office- ...with at least 6 years of progressive accounting experience, particularly within the Broker-Dealer sector. Key responsibilities include overseeing financial reporting, regulatory compliance, and internal control management. Strong leadership and technical expertise are...
$114.73k - $155.22k
The Broker Dealer and Investment Advisor (also referred to as Thrivent Investment Management, Inc.) Lending... ...as primary liaison with Legal and Compliance Ensure compliance with applicable... ...lending, including FINRA Rule 3240 Lead audit and exam preparation related to...Hourly payFull timeLocal areaFlexible hours- Affirm is seeking a Compliance Advisor to work closely with cross-functional teams to navigate compliance risks effectively. Ideal candidates will have a Bachelor's degree and over 5 years of experience in compliance advisory roles, with strong communication skills and...Remote job
- ...primary point of contact for clients throughout the loan process. You will coach branch teams, promote mortgage loans, and ensure compliance with regulatory requirements for loan origination. A strong sales background and expertise in FHA, VA, and FNMA guidelines are...
- ...team based in the U.S. Risk Consultants advise client companies on risk management strategies... .... A Senior Risk Consulting Engagement Lead is a recognized subject matter expert,... ...risk, reinsurance and capital, people and investments, and management consulting, advising clients...Minimum wage
- ...Property Risk Consulting team based in the U.S. Risk Consultants advise client companies on risk management strategies, use data to help... ...their risk exposure. A Senior Risk Consulting Engagement Lead is a recognized subject matter expert, making an impact as an influential...
- A leading global investment banking firm in New York is seeking an experienced attorney to support... ...post JD. Key responsibilities include advising on legal strategy, assisting client... ...previous in-house experience at a broker-dealer or registered investment adviser. #J...
- ...New York Self Clearing Broker Dealer is seeking an Accounting Professional with Finance experience to work in a temp to perm role. Our client is searching for a self-motivated, team-oriented Accounting Specialist. This coveted position has room for significant growth as...Permanent employmentTemporary work
$150k - $180k
...VP candidate to support our Broker-Dealer Regulatory Reporting team. This... ...partners to ensure full compliance with applicable SEC and FINRA... ...trusted advice and industry-leading insight, extending access to... ...growing our strong, diversified investment bank. Together, we are...Work at officeLocal areaWork from homeFlexible hours- Taurus Search, a leading Financial Institution, is seeking an AVP for their Broker Dealer Regulatory Reporting team in New York City. This role offers a strong work-life balance and hybrid work. Key responsibilities include preparing the daily net capital and customer...
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