Chief Compliance Officer, Corporate -Legal
About the position Ascensus is the leading independent technology and service platform powering savings plans across America, providing products and expertise that help nearly 16 million people save for a better today and tomorrow. The Chief Compliance Officer is responsible for overseeing and managing the compliance of Ascensus’s operating businesses and its broker-dealers, registered investment advisors and transfer agents ensuring adherence to laws, regulations, and internal policies. This position is Hybrid to our Newton, MA location.
Responsibilities
- Ensure that operating businesses comply with laws, regulations, policies and procedures
- Develop, own and manage department vision, priorities and agenda
- Serve as CCO of broker-dealer, registered investment advisers, transfer agent and State-Chartered Trust Companies
- Advise senior management and business units on regulatory initiatives
- Provide guidance and training to operating business units
- Act as liaison with regulators including FINRA, SEC, MSRB and State Banking Regulators
- Oversee regulatory exams and audits
- Serve as spokesperson for Ascensus on compliance issues, including client due diligence visits
- Drafts and maintains policies and procedures to fulfill the applicable compliance requirements of each regulated entity and business unit
- Drafts and maintains relevant corporate-wide compliance policies and procedures
- Coordinate with internal operational groups to implement any needed compliance changes
- Handle all required filings and notices, including MSRB G42 and G45, Form BD, and Form ADV
- Administer AML/CIP/CID/SAR policies and filings, including transaction monitoring and FinCEN and OFAC searches
- Collaborate with Legal and Risk Management on privacy, identity theft and fraud incidents
- Oversee review and required filings of all advertising and marketing communications
- Oversee licensing and continuing education requirements for FINRA registered representatives including Forms U4 and U5, email review, compliance meeting monitoring and attestations
- Create, manage, and deliver annual compliance trainings, including firm, regulatory and AML Investment
- Oversee investment advisor compliance program for mutual funds, exchange traded funds, separately managed accounts, municipal securities and other investment products
- Conduct initial and ongoing due diligence of investment managers and collaborate with investment personnel to ensure compliance with the investment directives of Ascensus’s clients
- Assist with the review and drafting of relevant program disclosure documents
- Work closely with the legal and risk management departments
- Support other compliance activities including responses to RFPs
- Evaluate compliance needs and requirements of acquired companies and ensure corporate standards are applied consistently across all divisions and locations
- Responsible for protecting, securing, and proper handling of all confidential data held by Ascensus to ensure against unauthorized access, improper transmission, and/or unapproved disclosure of information that could result in harm to Ascensus or our clients.
- Manage and lead a team of compliance professionals who support multiple business units
- Develop a high performing team through implementation of effective recruitment, training/cross training, performance management, mentoring, motivation and coaching while fostering strong team and cultural dynamics.
- Engage associates in a positive and professional manner where inclusion, belonging and diversity of thought are leveraged for innovation and continuous improvement.
- Works with associates to set and execute goals/objectives.
- Manages direct reports according to Ascensus policy; maintains a safe and healthy work environment by establishing, following and enforcing standards and procedures; complying with legal regulations.
Requirements
- BS required; advanced degree preferred
- Minimum 15 years of broker-dealer and investment advisor compliance experience
- Must have the following Securities Licenses or be willing to obtain them within 6 months: Series 7 – General Securities Representative Series 24 – General Securities Principal; and Series 51 – Municipal Fund Securities Limited Principal; or Series 53 – Municipal Securities Principal
- Certification required: Certified Regulatory Compliance Manager (CRCM); other risk-related certifications desirable (CIA, CRP, CFE or CAMS)
- Strong negotiation, influencing, and relationship management skills
- Action-oriented; able to drive change and achieve results
- Strong managerial and leadership skills
- Effectiveness presenting to executive management, board of directors and regulators
- Strong business acumen
- Exceptional problem solving, decision making and analytical skills
- Excellent written and verbal communication skills
- For all virtual remote positions, in order to ensure associates can effectively perform their job duties with no distractions, we require an u
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