Current Statistics
1,547,435 Total Jobs 263,493 Jobs Today 17,681 Cities 222,734 Job Seekers 146,855 Resumes |
|
|
|
|
|
|
Compliance Advisor Senior Manager - Wilmington Delaware
Company: Capital One Location: Wilmington, Delaware
Posted On: 01/15/2025
NYC 299 Park Avenue (22957), United States of America, New York, New YorkCompliance Advisor Senior ManagerThe Compliance Advisor Senior Manager will report directly to the Commercial Broker Dealer Chief Compliance Officer. -This role -will -support -three -institutional FINRA registered broker dealers -and -provide -compliance -support to the Capital Markets line of business, a division within the Commercial Bank of Capital One, as necessary. -The broker dealers being supported include Capital One Securities, Inc., KippsDeSanto & Co., TripleTree, LLC. (collectively "Commercial Broker Dealers" or "CBDs"). -The Compliance Advisor Senior Manager will work independently from the CBD Chief Compliance Officer to interact with and advise -the CBD LOBs on the need for and effective methods of managing compliance risk arising from federal and state laws and regulations, within an enterprise-level risk management framework. The Compliance Advisor Senior Manager also assists the Broker Dealer CCO in keeping abreast of new and updated financial industry laws and regulatory requirements (e.g., FINRA, SEC). -The Compliance Advisor Senior Manager works within the Compliance Management Program framework and is responsible for delivering on specific tasks and repeatable processes.The Compliance Advisor Manager maintains all organizational and professional ethical standards and has latitude for independent judgment and -decision-making. - -Additional responsibilities will include: - Provide subject matter expertise and guidance on compliance with all applicable SEC and FINRA rules and regulations, including but not limited to application of those rules to Asset-Backed Securities underwriting and secondary trading, Commercial Mortgage-Backed Securities, equities, equity research, investment banking and mergers and acquisitions.
- Experience with trade surveillance of fixed income (asset backed securities including commercial mortgage backed securities) and equity trading.
- Familiarity with securities licensing and registration protocols
- Provide CBD LOBs support/advice on the application of compliance requirements (corrective action, new product or process development, change in law or regulatory environment)
- Provide effective challenge and guidance on compliance risks and support lines of business through various interactions and forum engagements
- Capture, maintain and analyze business area compliance data and interpret to ensure a consistent and adequate compliance risk management
- Maintain and enhance the LOB's policies and procedures to ensure they accurately reflect actual practice and address regulatory requirements
- Assist in designing second line compliance monitoring and testing -
- Advise CBD business leaders on their obligations under the Capital One's Compliance Management Policy
- Assist in guiding CBD LOBs on the development and maintenance of processes to deliver on their responsibilities and accountabilities within the Compliance Management Program
- Actively participate on complex projects through providing guidance, advise, and effective challenge
- Assist in the maintenance of the firm's books and records
- Assist in the promotion of a culture of compliance and managed risk taking
- Flexibility to travel to various Capital One locations as necessary
- Performs other related work as assigned by a Commercial Bank Compliance Officer or the Chief Compliance OfficerBasic Qualifications
- Bachelor's degree or military experience
- At least 7 years of experience working in compliance, legal, audit, operations or finance within financial services OR at least 7 years of experience working for a regulator overseeing broker dealers or investment advisers
- FINRA licensed with valid Series 7 or 79Preferred Qualifications
|
|
|
|
|
|
|