Senior Compliance Officer
$175kInvestec
Reference: 13578Senior Compliance Officer, Investec USAInvestec – Where Out of the Ordinary HappensAt Investec, we do things differently. We're a leading international bank and wealth manager built on a culture of curiosity, entrepreneurial spirit and human connection. Ideas are heard, ambition is celebrated, and impact is encouraged. As part of an organization that challenges convention and strives for outperformance, you'll help shape bold solutions for clients who expect something more than the ordinary.About the team:Investec USA's Compliance Advisory function is based in our New York office and supports multiple business lines, with a primary focus on a registered broker-dealer. You'll be a key member of a compliance team, reporting directly to the Chief Compliance Officer, while working closely with colleagues globally to deliver consistent, commercially-aware advice across our international platform.What will I be doing?Provide day-to-day regulatory and policy advice to business lines, including a 15a-6 broker-dealer, specialist lending desks, and global affiliates with a focus on equity markets.Advise on U.S. securities regulations (SEC, FINRA) and broker-dealer obligations, including requirements applicable to 15a-6 cross-border activities.Act as a trusted advisor to senior stakeholders, delivering timely, practical guidance on complex and time-sensitive matters.Oversee and manage client onboarding and AML/KYC processes, including due diligence and documentation.Oversee and manage various record-keeping obligations of the Firm pertaining to business lines, supervision and employee oversight.Support the registration and licensing function.Assist with overseeing and managing the AML program of the Firm.Oversee Personal Account dealings and other regulated activities of the Firm's employees.Assist with managing various internal and external audits of the Firm, ensuring readiness and remediation of findings.Identify, assess, and prioritise regulatory and compliance risks across covered business lines.Regularly update a well-established compliance program, including policies, procedures, and controls aligned to U.S. regulatory requirements and global, parent-company standards.Support new business initiatives, transactions, and product approvals from a compliance perspective.Provide guidance and ensure adherence to market conduct, conflicts clearance and information barrier requirements across all relevant activities.Coordinate compliance issue tracking, escalation, and remediation, ensuring appropriate governance and documentation.Deliver management reporting on compliance risks, themes, and emerging regulatory developments.Assist the Firm's management with regulatory inquiries, examinations, and responses.Maintain strong awareness of evolving regulatory expectations and industry practices.Assist with developing and delivering targeted compliance training to business stakeholders.Draft and maintain policies and procedures consistent with U.S. regulatory requirements and global standards.Promote a strong culture of compliance and conduct across the organisation.Partner with specialist teams including Legal, Compliance Advisory, Control Room, Surveillance, IT, Operations, Research and third-party Compliance vendors.Collaborate with global Compliance colleagues (London, Johannesburg, Mumbai, etc.) to ensure consistency in approach and handling of cross-border matters.Provide leadership, oversight, and mentorship to the Compliance Associate, fostering strong performance, development, and team effectiveness.Manage and develop junior team resources as part of the broader remit, with direct responsibility for the Compliance Associate.What do I need to bring?FINRA Series 14 licence required; eligibility to obtain FINRA Series 24 licence is a plus.Master's degree (Compliance, Risk Management, Business or related field) with 7+ years' relevant experience preferred, or Bachelor's degree required with 10+ years' relevant experience.Professional certifications (e.g. FINRA licences, CRCM, CAMS or equivalent) strongly preferred.Significant experience in Compliance Advisory, Legal or Regulatory roles within FINRA-regulated broker-dealers.Demonstrated knowledge of U.S. securities regulations (SEC, FINRA rules) and the 15a-6 broker-dealer framework and cross-border rules.Experience supporting complex transactions, new business activity, and regulatory risk assessments in a global financial institution.I am good at:Applying strong technical knowledge of securities regulation, broker-dealer compliance, information barriers and conflicts management frameworks across multi-jurisdictional contexts.Analysing complex scenarios and providing clear, risk-based guidance in time-sensitive, high-stakes situations.Prioritising and multi-tasking effectively in a fast-paced environment.Engaging business stakeholders and senior leaders with credibility, influence and a commercially-aware mindset.Communicating clearly in writing and verbally, including policy drafting and executive reporting.Building collaborative, solutions-oriented relationships across global teams.Operating with integrity, professionalism, independence, accountability and strong attention to detail.Staying adaptable and resilient in a dynamic regulatory and business environment, working independently while contributing to a strong team.What's in it for me?At Investec, you are empowered to bring your authentic self, contribute new ideas, and grow alongside colleagues who share your drive for excellence. You will be part of a collaborative and creative culture where we encourage and are committed to sustainability across our global business. You will share in our purpose of creating enduring worth and together, we'll achieve things tomorrow that hardly seem possible today. As part of our collaborative & agile culture, our working week is 4 days in the office and one day remote. We believe that being together enables us to live our values and support our clients and communities in an extraordinary way.Investec offers a range of wellbeing benefits to make our people feel healthier, balanced and more fulfilled in their lives inside and outside of work. You will learn more about the U.S. benefits offering during the candidacy process.Embedded in our culture is a sense of belonging and inclusion. At Investec we want everyone to find it easy to be themselves, and to feel they belong. It's a responsibility we all share and is integral to our purpose and values as an organisation. We believe that innovation thrives when everyone feels respected, included, and empowered to contribute.We actively seek out diverse talent and foster an inclusive environment, encouraging applications from people of all backgrounds and experiences. Here, you'll find networks, benefits, and development opportunities designed to support your career journey, wherever it may lead.If this role excites you but you don't meet every requirement, we'd still love to hear from you. Your unique perspective and experience could be exactly what we are looking for. Get in touch!At Investec, we're deeply invested in our clients, our colleagues, and our communities. It's more than a mindset; it's how we show up every day.Be part of something Out of the Ordinary.Recite MeWe commit to ensure that everyone is fairly assessed during our recruitment process. To assist candidates in completing their application form, Recite Me assistive technology is available on our Careers pages. This can be accessed by clicking on the ‘Accessibility Options' link at the top of the page.The Recite Me tool includes a screen reader, styling and customisation options, a series of reading aids, a translator and more.If you have any form of disability or neurodivergent need and require further assistance in completing your application, please contact the Careers team at [email protected] who will be happy to assist. Location:New York Department:Compliance(IBP) Division:IBP Risk & Compliance Employment Type:Full time Salary:$175,000
$163k - $204k
...companies, through internal and external managers. The Investments Compliance team provides compliance and regulatory support to AIG’s... ...insurance companies and will work closely with the Chief Compliance Officer in the day-to-day execution of the compliance program.Review...SeniorFull timeWork at office$100k - $150k
...and have an open dialogue with your recruiter who can provide you more specific details for this role.Job Description:CIB Credit Compliance plays an important control and oversight role within TD Securities’ Corporate and Investment Banking (CIB) Credit function, supporting...SeniorFull timeLocal areaWork from homeFlexible hours$150k - $200k
...successful candidate will support the firm's compliance program across registered private equity... ...hybrid schedule in one of our following offices 3 days/week.Boston, New York,... ...experience, plus discretionary bonus.#MID_SENIOR_LEVELAt Franklin Templeton, we believe your...SeniorFull timeLocal area3 days per week- ...AnnuallyIndustry Hedge FundSelling Points Lead impactful compliance operations in a dynamic investment environment. Collaborate with senior leadership on strategic initiatives and... ...Job DescriptionSenior Hedge Fund Compliance Officer / Legal Counsel OverviewThe Senior Hedge...SeniorContract work
$150k - $190k
...right place to build a fulfilling career.Senior Tax ManagerThis role is responsible for... ...organizations within the BBH Multi-Family Office (MFO) Tax group. The position also... ...discrepancies and ensure completeness and compliance.Build and maintain strong relationships...SeniorFull timeSeasonal workWork at officeLocal areaImmediate start$160k - $180k
Department: ComplianceDivision: Risk & Compliance DivisionTitle: Senior Compliance Manager and Privacy Officer Job SummaryProvide advice and guidance to the Chief Compliance Officer, senior management, and business lines regarding compliance with non-AML/BSA laws and regulations...SeniorLocal area$104k - $177k
We’re seeking a future team member for the role of Senior Vice President, Consumer Compliance Officer - Global Payments & Trade. to join our Risk & Compliance team. This role is located in Pittsburgh, PA or Lake Mary, FL In this role, you’ll make an impact in the following...SeniorTemporary workWorldwideFlexible hours$88 per hour
...Job Description Senior Compliance OfficerEquity Research Compliance BizTek People is seeking a Senior Compliance Officer for our client, a global financial institution in New York City. Location: Midtown, NYC Schedule: Hybrid preferred (2 days onsite...SeniorContract workImmediate startRemote work- Lumio Dental in the United States seeks a Sr. Credentialing Specialist to manage credentialing processes for providers. You will handle applications, maintain licenses, and ensure data accuracy across systems, supporting a fast-paced dental partnership network. The role...Senior
$160k - $175k
...US B Regulatory Compliance We are looking for a Senior Compliance Officer to join our Compliance Team. The role may be based in New York, NY or Miami Lakes, FL. The right candidate will support the consumer regulatory compliance functions for Popular Bank, including...SeniorFull timeTemporary workPart timeSeasonal workWork at officeImmediate startFlexible hours- A compliance-focused staffing agency in New York is seeking a Compliance Officer to ensure adherence to regulatory standards. Responsibilities include developing compliance programs, conducting audits, and providing training. The ideal candidate has a Bachelor's degree...Senior
- Marex is hiring a Surveillance Compliance Officer for its New York office. The role focuses on Trade Surveillance, E-communications and Voice review across US BD and FCM lines, with exposure to multiple asset classes and venues. You will contribute to the ongoing improvement...SeniorWork at office
- FalconX in New York is seeking a Compliance Officer to oversee Swap Dealer & Security-Based Swap Dealer regulatory programs and ensure strict... ...Operations to implement controls, monitor activities, and report to senior management, while staying ahead of evolving regulatory...Senior
- ...global financial institution that has recently established a new Compliance Regulatory Initiatives team within its U.S. Wholesale... ...part of this build-out, they are looking to add a Compliance Officer to support firmwide policy, procedure, and regulatory governance...Senior
- ...Job Title : Senior Compliance Officer Location : Hybrid/New York, NY Department : Compliance Advisory Reports To : Chief Compliance Officer Job Type : Full-Time About Prestige Development Group (PDG) Prestige Development Group (PDG...SeniorFull timeLocal area
- Overview We are seeking a highly motivated individual to join our team as a Senior Compliance Officer. In this role, the individual will provide real-time regulatory guidance and oversight to the firm’s equities trading and sales teams. The role ensures that business activities...Senior
- Growing clearing broker dealer is seeking an experienced Senior Compliance Officer to support the firm's compliance program across U.S. equities, listed options, futures, and electronic trading . This role partners closely with Trading, Operations, Risk, Technology, and...Senior
- Senior Compliance Officer Financial services New York , New York Permanent Feb 19, 2025 The Senior Compliance Officer will support the Alternative business. This includes investments in Direct Real Estate, Infrastructure Debt, and Private Credit. Create policies and procedures...SeniorPermanent employment
- TD Securities in New York is seeking a Senior Compliance Officer to join the US Compliance Monitoring and Testing Team and Core Compliance Group. The role involves developing and executing the annual testing and monitoring plan, defining review scope, and reporting findings...Senior
- Senior Compliance Officer/Deputy CCO to become CCO (New York, NY): Our client, a growing hedge fund focused looking to hire a Senior Compliance Officer or Deputy CCO. This individual will work closely with senior leadership and take on broad responsibility across the compliance...SeniorWork at officeWork from home
$125k - $175k
..., banks, hedge funds and asset managers. With more than 35 offices around the globe, and over 2,300 dedicated people enabling access... ...Purpose of Role: Marex is recruiting for a Surveillance Compliance officer to join the team our at our New York office. The role...SeniorWork at officeImmediate start- Une institution financière basée à New York recherche un Senior Compliance Officer pour rejoindre son équipe de surveillance et de tests de conformité. Le candidat idéal doit avoir une expérience de 5 à 7 ans dans le domaine de la conformité, une formation en baccalauré...SeniorRemote job
- ...including the design of initiatives to further enhance the global Compliance Management Program of the Knorr-Bremse Group Support the... ...up culture Act as a strategic advisor to regional compliance officers worldwide, guiding the implementation and continuous enhancement...SeniorRemote workWorldwide
$175k
Investec is hiring a Senior Compliance Officer based in New York to provide regulatory and policy guidance. This role involves managing regulatory risks and compliance across multiple business lines in a dynamic environment. The successful candidate will work directly with...SeniorRemote jobWork at office$125k - $175k
Purpose of Role Marex is recruiting a Surveillance Compliance Officer to join the team at our New York office. The role focuses on Trade Surveillance (Trade Activity and Communications) across a range of asset classes including Cash Equity, Fixed Income, Commodities and...SeniorWork at office- Landing Point is seeking a Senior Compliance Officer/Deputy CCO in New York, NY, who will support the CCO in overseeing the firm’s compliance program with a clear path to the CCO position in 1-2 years. This role offers exposure to trading-related compliance issues in a...Senior
- Security Based Swap Dealer Senior Compliance Officer Serve as the leader in all aspects of compliance associated with the SBSD and partner with various business units to aid in achieving their objectives post approval and implementation. Work closely with management and...SeniorFull time
$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...SeniorContract workWork at office- ...Frec Markets, Inc. is seeking a second Chief Compliance Officer to join a fast-growing fintech, scaling regulatory programs for its broker-dealer or RIA entity. You will co-lead with the existing CCO, building processes that scale with two dedicated leaders while maintaining...SeniorRemote job
$100k - $135k
## Senior Compliance Officer - Monitoring and Testing (Associate) - TD Securities (US)Applyremote type: On Sitelocations: New York, New Yorktime type: Full timeposted on: Posted 19 Days Agojob requisition id: R\_1467507**Work Location**:New York, New York, United States...SeniorWork experience placementLocal areaWork from homeFlexible hours
Do you want to receive more vacancies?
Subscribe and receive similar vacancies to Senior Compliance Officer. Be the first to apply!
- research compliance officer New York, NY
- trade compliance specialist New York, NY
- privacy compliance analyst New York, NY
- senior compliance analyst New York, NY
- regulatory compliance associate New York, NY
- research compliance analyst New York, NY
- risk compliance officer New York, NY
- regulatory officer New York, NY
- senior regulatory affairs specialist New York, NY
- legal compliance officer New York, NY


