Talent.com
Chief Compliance Officer
Chief Compliance OfficerFull-service Broker-Dealer and Investment Bank - Confidential • New York, NY, United States
[error_messages.no_longer_accepting]
Chief Compliance Officer

Chief Compliance Officer

Full-service Broker-Dealer and Investment Bank - Confidential • New York, NY, United States
[job_card.30_days_ago]
[job_preview.job_type]
  • [job_card.full_time]
[job_card.job_description]

Firm Overview

A New York–based, full-service broker-dealer and investment bank providing investment banking, brokerage, trading, and capital markets services to institutional and corporate clients. The firm operates in a highly regulated, execution-focused environment with a strong emphasis on regulatory discipline, supervisory oversight, and day-to-day compliance engagement across all business lines.


Position Summary

The Chief Compliance Officer is responsible for the overall design, execution, and oversight of the firm’s enterprise-wide Compliance Program. This role serves as the senior compliance authority and primary regulatory liaison, ensuring adherence to SEC, FINRA, MSRB, and other applicable regulatory requirements.


The CCO is expected to be highly hands-on, actively involved in daily compliance operations, supervisory oversight, regulatory examinations, and strategic decision-making. This role partners closely with executive management, investment banking leadership, trading, operations, and legal teams to maintain a strong culture of compliance and risk management.


Essential Duties and Responsibilities

  • Oversee, administer, and continuously enhance the firm’s Compliance Program across all broker-dealer and investment banking activities
  • Serve as the primary point of contact with FINRA, the SEC, MSRB, and state regulators, including leading regulatory examinations, inquiries, and remediation efforts
  • Supervise day-to-day compliance operations, including surveillance reviews, communications monitoring, trading supervision, and regulatory reporting
  • Review and approve marketing materials, public communications, and investment-related content in accordance with FINRA Rule 2210
  • Oversee branch office supervision, including branch inspections, deficiency remediation, escalation, and documentation
  • Review and approve outside business activities, private securities transactions, heightened supervision plans, and disciplinary matters
  • Ensure timely and accurate regulatory filings, including FINRA 4530 reports, Form U4/U5 amendments, and other required submissions
  • Draft, maintain, and enforce compliance policies, procedures, and Written Supervisory Procedures
  • Establish and execute the annual compliance plan, internal testing program, thematic reviews, and firm-wide risk assessments
  • Lead firm-wide compliance training initiatives, including Annual Compliance Meetings, AML training, and targeted regulatory education
  • Build, mentor, and manage compliance personnel, setting performance expectations and supporting professional development
  • Provide regulatory guidance and interpretation to senior management and business leaders, supporting new initiatives and strategic growth
  • Represent the Compliance Department in management meetings and contribute to firm-level risk mitigation and governance discussions


Qualifications:

Education

  • Bachelor’s degree required
  • Advanced degree (JD, MBA, MS Finance, or related) strongly preferred


Licensing

  • Must hold active FINRA Series 7, Series 24, Series 14, and Series 63 or 66 registrations


Experience

  • Minimum of 10+ years of broker-dealer compliance experience
  • Prior experience serving as a Chief Compliance Officer or senior compliance leader at a full-service broker-dealer or investment bank
  • Demonstrated experience leading and responding to FINRA and SEC examinations


Skills and Competencies

  • Deep understanding of SEC, FINRA, and MSRB regulatory frameworks
  • Strong supervisory judgment and risk-based decision-making ability
  • Hands-on leadership style with the ability to operate in a fast-paced, on-site environment
  • Excellent written and verbal communication skills
  • High attention to detail and strong documentation and organizational skills
  • Ability to manage multiple priorities, regulatory deadlines, and complex compliance issues


Compensation & Benefits

  • Competitive base compensation
  • Annual discretionary bonus
  • Medical insurance
  • Dental insurance
  • 401(k) plan
  • Paid time off
[job_alerts.create_a_job]

Chief Compliance Officer • New York, NY, United States

[internal_linking.similar_jobs]
Senior FCRM Compliance Officer - Prime Brokerage Oversight

Senior FCRM Compliance Officer - Prime Brokerage Oversight

TD Bank • New York, NY, United States
[job_card.full_time]
Senior FCRM Compliance Officer.FCRM TDS Business Oversight team supports TD Securities in developing, implementing, and maintaining a robust financial crime risk management ("FCRM") program that me...[show_more]
[last_updated.last_updated_1_day] • [promoted]
Senior Compliance Officer

Senior Compliance Officer

Related Company • New York, NY, United States
[job_card.full_time]
The Senior Compliance Officer will support Related Companies' legal and treasury teams in managing compliance obligations and due diligence requests, including Know Your Customer (KYC) and Anti-Mon...[show_more]
[last_updated.last_updated_variable_days] • [promoted]
Senior Lead Compliance Officer - Prime brokerage Compliance Executive Director

Senior Lead Compliance Officer - Prime brokerage Compliance Executive Director

Wells Fargo • New York, NY, United States
[job_card.full_time]
Wells Fargo is seeking a Senior Lead Compliance Officer within (CIB)Corporate Investment Banking Markets Compliance Groups.Provide oversight and governance of a business group or manage companywide...[show_more]
[last_updated.last_updated_variable_days] • [promoted]
Vice President, AML Compliance Officer

Vice President, AML Compliance Officer

Wedbush Securities • New York, NY, United States
[job_card.full_time]
Wedbush Securities is one of the largest securities firms and investment banks in the nation.We provide innovative financial solutions through our Wealth Management, Investment Banking & Capital Ma...[show_more]
[last_updated.last_updated_variable_days] • [promoted]
Sr. Compliance Officer, LRC

Sr. Compliance Officer, LRC

Bank of Montreal • New York, NY, United States
[job_card.part_time]
The Equities Compliance Vice President will assist in effective implementation, maintenance and administration of the Capital Markets Compliance Program.The role provides compliance advisory servic...[show_more]
[last_updated.last_updated_variable_days] • [promoted]
Senior Compliance Officer, Product & Structured Transactions (MD)

Senior Compliance Officer, Product & Structured Transactions (MD)

Guggenheim Investments • New York, NY, United States
[job_card.full_time]
Guggenheim Investments is currently seeking a Senior Compliance Officer to support the regulatory oversight of complex fixed income products and registered investment adviser (RIA) programs.The ide...[show_more]
[last_updated.last_updated_variable_days] • [promoted]
Compliance Officer

Compliance Officer

Insight Global • New York, NY, United States
[job_card.full_time]
The Compliance Officer will work closely with the members of a team focusing on regulatory compliance issues with respect to marketing and other investor/third party materials and communications.Th...[show_more]
[last_updated.last_updated_variable_days] • [promoted]
Senior Compliance Officer

Senior Compliance Officer

Barclay Simpson • New York, NY, United States
[job_card.full_time]
We are conducting a confidential search on behalf of a NYC-based investment advisory firm serving institutional investors across multiple strategies.This role will report to the CCO and work closel...[show_more]
[last_updated.last_updated_variable_days] • [promoted]
Senior Compliance Officer - Capital Markets

Senior Compliance Officer - Capital Markets

PJT Partners • New York, NY, United States
[job_card.full_time]
PJT Partners is a global advisory-focused investment bank.Our team of senior professionals delivers a wide array of strategic advisory, shareholder advisory, restructuring and special situations an...[show_more]
[last_updated.last_updated_variable_days] • [promoted]
Remote Chief Legal & Compliance Officer (Nonprofit)

Remote Chief Legal & Compliance Officer (Nonprofit)

Color Of Change • New York, NY, United States
[filters.remote]
[job_card.full_time]
A national racial justice organization is seeking a Chief General Counsel to serve as its principal legal authority and strategic advisor.This role involves building the organization's legal infras...[show_more]
[last_updated.last_updated_variable_days] • [promoted]
Deputy Chief Legal Officer - Investments & Compliance

Deputy Chief Legal Officer - Investments & Compliance

Kuvare • New York, NY, United States
[job_card.full_time]
A financial services company is seeking a Deputy Chief Legal Officer to oversee legal aspects of investment operations.Responsibilities include supporting transactions, managing compliance, and adv...[show_more]
[last_updated.last_updated_30] • [promoted]
Junior Compliance Officer

Junior Compliance Officer

CFM • New York, NY, United States
[job_card.full_time]
Founded in 1991, we are a global quantitative and systematic asset management firm applying a scientific approach to finance to develop alternative investment strategies that create value for our c...[show_more]
[last_updated.last_updated_variable_days] • [promoted]
Senior Compliance Officer, Product & Structured Transactions (MD)

Senior Compliance Officer, Product & Structured Transactions (MD)

Rydex Investments • New York, NY, United States
[job_card.full_time]
Guggenheim Investments is currently seeking a Senior Compliance Officer to support the regulatory oversight of complex fixed income products and registered investment adviser (RIA) programs.The ide...[show_more]
[last_updated.last_updated_variable_days] • [promoted]
Chief Compliance Officer

Chief Compliance Officer

Jobot • New York, NY, US
[job_card.full_time]
Remote! Rapidly Expanding Multi-State Healthcare Provider - Lucrative Compensation Structure This Jobot Job is hosted by: Ben Eberly Are you a fit? Easy Apply now by clicking the "Apply Now" button...[show_more]
[last_updated.last_updated_30] • [promoted]
Compliance Officer (OM/WBE)

Compliance Officer (OM/WBE)

New York Police Department • New York, NY, United States
[job_card.full_time]
The New York City Mayor's Office is responsible for overseeing city services throughout the five boroughs, coordinating public agencies and departments, and managing public property.New York City M...[show_more]
[last_updated.last_updated_variable_days] • [promoted]
VP Compliance & Strategic Managment

VP Compliance & Strategic Managment

Metropolitan Transportation Authority • New York, NY, United States
[job_card.full_time]
JOB INFORMATION (Job Posting Number).Title: Vice President of Compliance and Strategic Management.First Date of Posting: 01/16/26.Last Date of Filing: Until Filled.Department: Office of the Chief A...[show_more]
[last_updated.last_updated_variable_days] • [promoted]
Head of Compliance Risk Assessment

Head of Compliance Risk Assessment

SMBC • Jersey City, NJ, United States
[job_card.full_time]
SMBC Group is a top-tier global financial group.Headquartered in Tokyo and with a 400-year history, SMBC Group offers a diverse range of financial services, including banking, leasing, securities, ...[show_more]
[last_updated.last_updated_1_day] • [promoted]
Sr. Compliance Officer, LRC

Sr. Compliance Officer, LRC

BMO Financial Group • New York, NY, United States
[job_card.part_time]
The Equities Compliance Vice President will assist in effective implementation, maintenance and administration of the Capital Markets Compliance Program.The role provides compliance advisory servic...[show_more]
[last_updated.last_updated_variable_days] • [promoted]