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Vice President, Compliance and Control--FCC Advisory, Broker Dealer & Investment Management

BNY Mellon · Lake Mary, FL, Estados Unidos · United States

Vice President, Compliance and Control - Lead FCC Advisory for BNY Investments. Drive regulatory compliance, policy development, and risk management for BNY's investment entities.

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Vice President, Compliance and Control - Lead FCC Advisory for BNY Investments.

Drive regulatory compliance, policy development, and risk management for BNY's investment entities.

Position Summary

Serves as an FCC Advisory associate, primarily supporting BNY’s Investments business within the broader BNY FCC Advisory Team.

Supports key BNY Investments businesses, including BNY Mellon Securities Corporation and the BNY Family of Funds and ETFs.

Plays a critical role within the Risk & Regulatory Compliance function and the Compliance & Control job family.

Supports the integrity of BNY operations by helping maintain compliance with applicable regulatory standards.

Helps ensure adherence to internal policies, procedures, and external regulatory requirements.

Promotes BNY’s strategic focus on trust, integrity, accountability, and transparency.

Requires a strong understanding of compliance frameworks, regulatory expectations, and risk management principles.

Primary Responsibilities

Develops and implements compliance policies and procedures informed by a strong understanding of regulatory requirements.

Collaborates with cross-functional teams to embed compliance controls into business processes.

Monitors and interprets regulatory changes, advising senior management on potential impacts and recommended policy adjustments.

Supporting the AMLO/FCCO during regulatory inquiries, internal audits, and annual third-party assessments.

Deputy Money-Laundering Reporting Officer for funds registered in the Cayman Islands.

Education and Qualifications

Bachelor’s degree in law, business, finance, or a related field.

Advanced certifications in compliance or risk management, such as CRCM or CAMS, are advantageous.

Experience

Typically requires 5–10 years of relevant compliance, risk, or regulatory experience.

Skills

Strong analytical and problem-solving skills, with the ability to assess and address compliance issues effectively.

Excellent communication and interpersonal skills, with the ability to educate, influence, and collaborate with stakeholders across the organization.

Proven ability to interpret regulatory changes and implement effective compliance strategies.

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