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Legal & Compliance - Senior Compliance Officer/senior Counsel
Refer job# TPTY155192
 
Position: Legal & Compliance Senior Compliance Officer/Senior Counsel Job Id: 486 Responsibilities: Maintain in-depth knowledge of the business and its activities in order to ensure adequate legal and compliance oversight and resources as the business needs evolve over time; advise the business on emerging legal and compliance issues. Work with branch management, operations, supervision, product specialists, compliance professionals, and others to review, develop and implement compliance and supervision policies and procedures and risk management analyses. Identify and respond to ongoing regulatory changes, ensure implementation of required policies and procedures and appropriate operational and compliance oversight. Participate and, where appropriate, coordinate and lead resolution of regulatory inquiries and customer complaints. Assist in responding to regulatory exams, external and internal audits, annual compliance reviews and risk assessments. Develop solutions and lead any required remediation of compliance gaps to completion. Conduct surveillance and monitoring of trading activities and of supervisory reviews conducted by branch management and central supervision functions. Provide legal and regulatory advice to Rockefeller Financial senior management and department heads on existing and new legal and regulatory matters affecting the Firm. Partner with Compliance Officers, Risk Management, Operations and IT to evaluate and propose solutions to regulatory and legal risks impacting Rockefeller Financial. Provide legal and regulatory analysis of new and expanded product and service offerings. Review marketing and advertising for compliance with FINRA rules. Liaise with other business areas to provide legal and compliance assistance and support regarding strategic regulatory matters.

Qualifications: 7+ years of relevant experience with demonstrated compliance, supervision or legal experience with a broker-dealer required and variable and fixed annuity compliance experience a plus. Knowledge of the securities industry, from a product, corporate governance, compliance and operational perspective. Experience and knowledge of FINRA, SEC, state securities and firm-specific rules and regulations relating to broker-dealers and investment advisors. The ideal candidate will have technology and database experience. FINRA series 7 license preferred; series 24 or series 9/10 licenses strongly preferred. BA/BS degree required; MBA or law degree a plus. Demonstrated ability to work effectively and cross-functionally with employees at all levels. Thinks critically and strategically through business issues while being able to perform tactical tasks including conducting risks assessments testing of broker-dealer compliance programs. Strong communication skills and presence with the ability to speak with impact, influence outcomes; simplify complex topics into actionable recommendations for decision-making. Self-starter with the ability to meet or exceed deadlines, prioritize, multi-task, and maintain flexibility in fast-paced, changing environment. Strong problem-solving skills and the ability to manage conflict and difficult issues in a professional, assertive and proactive manner. Willingness and ability to perform routine tasks.
 
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