BNY Mellon
We’re seeking a future team member for the role of Director to join our Markets Compliance team, covering Fixed Income and Buy-side Trading Solutions. This role is located in New York City.
In this role, you’ll make an impact in the following ways:
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Provide real-time advisory compliance support to lines of business and support staff so they may conduct their business in accordance with FINRA Broker-Dealer, NFA Introducing Broker, and Bank regulations.
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Advise and provides guidance for establishing a reasonably designed supervisory framework
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Prepare and update Compliance policies, and guidance for business owned documentation, including written supervisory procedures.
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Proactively engages with Compliance, Legal, and business colleagues to enhance the overall Compliance framework.
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Provide guidance on and remain up to date on regulatory developments and industry best practices.
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Interface with regulators, internal audit, and compliance testing teams during related examinations and/or audits for coverage areas.
To be successful in this role, we’re seeking the following:
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Bachelor’s degree
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At least 10 years of regulatory compliance experience and current knowledge with focus on capital markets, including fixed income securities.
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Strong organizational and communications kills and attention to detail.
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Maintains a strong work ethic, is pro-active with ability to work independently and manage ad-hoc projects to conclusion.
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Ability to manage relationships with Business COO, and Controls to foster business change aligned with regulatory expectations
BNY Mellon is an Equal Employment Opportunity/Affirmative Action Employer.
Minorities/Females/Individuals With Disabilities/Protected Veterans.
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