Compliance Manager at Ameriprise Financial overseeing compliance for Capital Markets and IRG. Providing guidance on regulatory developments and collaborating with cross-functional teams.
Responsibilities
Serve as a primary compliance advisor to Capital Markets and IRG stakeholders, applying deep knowledge of product structures, distribution requirements, and associated regulatory frameworks.
Monitor and interpret emerging regulatory developments, providing actionable guidance to business partners and ensuring timely incorporation of rule changes into policies, supervisory procedures, and operational processes—consistent with Compliance’s mission to foster a culture of integrity, mitigate risk, and partner closely with the business.
Evaluate and escalate complex compliance issues, exercising sound judgment in an environment where investment products, market dynamics, and regulatory expectations continue to evolve.
Collaborate with cross‑functional teams—including Legal, Product, Operations, and other Compliance groups—to support reviews, new product initiatives, regulatory exams, and strategic firmwide projects.
Enhance and maintain written supervisory procedures and compliance manuals, supporting updates related to capital markets activity, product requirements, and emerging risks.
Strengthen the firm’s risk management posture by proactively identifying trends, supporting monitoring activities, and ensuring controls align with industry best practices and regulatory expectations.
Requirements
Bachelors degree or equivalent (4-years)
5-7 years of relevant experience
Series 7 and 24, or ability to obtain
Strong knowledge of financial services industry
Knowledge of SEC, CFTC, State, and other regulatory requirements for investment advisers, registered investment companies, and broker/dealers
Strong written and verbal communication skills
Facilitation skills
Ability to prepare and/or present material for senior leaders, with leader support
Intermediate-level skills in Microsoft Word, Excel, and PowerPoint
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