Senior Compliance Manager driving compliance risk management in wealth management at TD Bank. Overseeing regulatory compliance and managing a team for branch inspections and investigations.
Responsibilities
Manage Branch Examinations and Internal Investigations Team
Ensure ongoing compliance with the Investment Company Act of 1940, FINRA, SEC rules
Develop and prepare compliance reports on risks and trends
Conduct periodic compliance testing, surveillance, and risk assessments
Provide training to the field on various regulatory topics
Requirements
Undergraduate degree or equivalent work experience
10+ years of experience
Experience working in an integrated wealth business as a bank subsidiary
Knowledge and experience within compliance or audit, legal and regulatory environment
Ability to research, interpret and summarize relevant regulatory expectations
FINRA Series 7, 63 and 24 preferred
Demonstrated business writing abilities
Benefits
Health and well-being benefits
Savings and retirement programs
Paid time off (including Vacation PTO, Flex PTO, and Holiday PTO)
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