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FINRA Licensed Chief Compliance Officer image - Rise Careers
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FINRA Licensed Chief Compliance Officer

Job Summary

A company is looking for a Chief Compliance Officer who will lead the Compliance team and oversee compliance and regulatory functions.

Key Responsibilities
  • Serve as the firm's FINRA-designated CCO, ensuring adherence to SEC and FINRA regulations
  • Oversee the firm's Anti-Money Laundering program and conduct compliance reviews and risk assessments
  • Lead compliance training programs and maintain the firm's Written Supervisory Procedures
Required Qualifications
  • 10+ years of experience in broker-dealer compliance, preferably in capital raising for private funds
  • Current FINRA Series 24 (Principal) license required
  • In-depth knowledge of SEC, FINRA, and regulatory requirements for limited-purpose broker-dealers
  • Experience managing FINRA/SEC examinations and regulatory filings
  • Bachelor's degree required; JD, MBA, or equivalent experience preferred

Average salary estimate

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TEAM SIZE
No info
EMPLOYMENT TYPE
Full-time, remote
DATE POSTED
May 14, 2025

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