Principal Financial Group Inc

Assistant Director - Field Compliance & Business Support

Principal Financial Group Inc$127K — $149K *
US-AnywhereRemote in Des Moines, IA
Finance & Insurance
8 - 10 years of experience
Job Overview by Ladders

Qualifications

  • 8+ years of financial services experience, with a focus on compliance and risk management
  • 2+ years in compliance, risk management, legal, or regulatory roles
  • Experience with dual registrant (RIA & BD) in independent retail distribution
  • 3+ years of leadership experience in formal or informal roles
  • Deep understanding of laws and regulations relevant to retail product distribution (SEC/FINRA, AML, KYC, GDPR)
  • Proficiency in Microsoft Office tools, especially Excel and PowerPoint
  • Strong analytical and communication skills, capable of influencing stakeholders

Responsibilities

  • Drive strategic compliance programs for retail product distribution
  • Conduct complex risk assessments to identify compliance issues
  • Oversee compliance monitoring and business engagement projects
  • Communicate regulatory developments to senior leaders
  • Lead process improvements for compliance adherence
  • Develop staff and manage team performance
  • Collaborate with various business areas and serve as a liaison with regulatory bodies

Benefits

  • Flexible Time Off (FTO) policy for salaried employees
  • Pension eligibility
  • Opportunity for participation in bonus programs
  • Career development and training opportunities
  • Emphasis on a diverse and inclusive work environment
Full Job Description
What You'll Do

This role drives strategic compliance programs for the Registered Investment Adviser and Broker Dealer for the retail product and service distribution of Principal Securities by leading a practice group accountable for retail distribution support. Responsibilities include setting compliance practice group direction, conducting complex risk assessments, overseeing compliance monitoring, regular business and compliance project engagement, and advising senior leaders on regulatory developments applicable in the space. The individual leads a practice group that contributes to policy and training strategies, leads process redesign, and collaborates across business areas. As a key liaison with Principals Securities, the role influences best practices.   Additional responsibilities include setting team goals, developing staff, managing performance, fostering collaboration, and ensuring successful delivery of compliance initiatives across business units.

  • Data Analysis - Systematically collect, interpret, and utilize data to ensure compliance. Analyze data to identify trends, patterns, and anomalies that could impact compliance. Use data insights to assess regulatory requirements, identify risks, and recommend improvements. Create detailed reports and visualizations to communicate findings.Support the development and execution of data strategies to enhance compliance insights and decision-making.
  • Regulatory Research - Investigate, analyze, and interpret laws, regulations, and industry guidelines to support enterprise compliance. Monitor and evaluate legal and regulatory changes, assessing their potential impact on business operations and compliance programs. Research regulatory standards and best practices, contributing insights to enhance policy development and operational alignment. Communicate research findings and compliance requirements clearly to stakeholders across business units. Contributes to research prioritization and strategy, helping guide focus areas based on risk, regulatory trends, and business needs. Support the development and execution of regulatory change management processes, ensuring timely and effective implementation.
  • Risk Management - Conduct risk assessments to identify potential compliance issues. Facilitate reporting of compliance risks across business units and geographies. Evaluate scenarios to determine the best course of action and offer strategic advice. Lead implementation of oversight programs to monitor and mitigate compliance risks. Review and approve deliverables using a risk-based approach to decision-making to support business goals while ensuring compliance with regulatory requirements and company policies.
  • Communications/Reporting - Lead the development and execution of external communication strategies related to compliance matters, ensuring alignment with enterprise-wide messaging and brand standards. Serve as a key liaison with regulatory bodies, industry groups, and external stakeholders to advocate for the organization’s position on emerging regulatory issues. Collaborate with senior leadership to shape and deliver consistent, enterprise-level compliance messaging across business units and external platforms. Establish and oversee the communication and reporting strategy for compliance initiatives, ensuring timely, transparent, and effective dissemination of information to internal and external audiences.
  • Process Improvements - Evaluate current compliance processes to identify inefficiencies and areas for improvement. Design and implement enterprise-wide or business unit compliance programs, policies, and controls that ensure regulatory adherence and support strategic business objectives. Lead and manage change initiatives to enhance compliance processes.Regularly monitor and review compliance activities for effectiveness. Collaborate with stakeholders to help ensure process improvements align with organizational goals.
  • People Leadership - Foster an environment which embraces diversity and inclusion, emboldens change, provides clarity of vision and purpose, nurtures collaboration, promotes innovation and creativity, while producing results which are measured and recognized. Successfully operates within a global, matrixed organization, inspires team to embrace business evolution and helps them develop their skill sets through effective delegation and empowerment. This includes providing training, career development, performance measurement, performance management, and input into hiring, compensation administration and rewards and recognition activities.
  • This position requires successful completion of a criminal background check, and is subject to firm policies regarding FINRA associated persons and SEC Access Persons/Code of Ethics.
Who You Are
  • 8+ years of relevant financial services experience demonstrated through one or a combination of the following: work experience, training, military experience or education.
  • 2+ years previous compliance, risk management, legal or regulatory experience.
  • Experience in a dual registrant (RIA & BD) engaged in independent retail distribution.
  • 3+ years of formal/informal leadership experience.
  • FINRA licensing may be required.
  • Deep understanding of financial service products, markets, laws and regulations (SEC/FINRA/state/federal, AML, KYC, GDPR) applicable to retail product distribution of a dual registrant.
  • Proficiency with Microsoft Office applications, including Excel, PowerPoint, and Word.
  • Excellent written and verbal communication skills with the ability to influence and build relationships across all levels of the organization.
  • Strong analytical, problem-solving, organizational, and attention-to-detail skills.
  • Proven ability to collaborate with business partners, manage stakeholder expectations, and balance multiple priorities in a fast-paced environment.
  • Demonstrated ability to work independently while collaborating effectively across teams.
  • Must be comfortable providing consultation to various organizational levels and display a high level of professionalism and ability to explain complex information.
  • Travel, including overnight stays, may be required periodically.
Salary Range InformationSalary ranges below reflect targeted base salaries. Non-sales positions have the opportunity to participate in a bonus program. Sales positions are eligible for sales incentives, and in some instances a bonus plan, whereby total compensation may far exceed base salary depending on individual performance. Actual compensation for all roles will be based upon geographic location, work experience, education, licensure requirements and/or skill level and will be finalized at the time of offer. Salary Range$127000 - $149000 / year Time Off ProgramFlexible Time Off (FTO) is provided to salaried (exempt) employees and provides the opportunity to take time away from the office with pay for vacation, personal or short-term illness. Employees don’t accrue a bank of time off under FTO and there is no set number of days provided. Pension EligibleYes Additional Information Work Authorization/Sponsorship

At this time, we are not considering applicants who require any form of immigration sponsorship to work in the United States now or in the future. This includes F1-OPT, F1-CPT, H-1B, TN, L-1, J-1, and similar visas. For more information on work authorization requirements, please use the following links:

Nonimmigrant Workers and Green Card for Employment-Based Immigrants

Investment Ethics Code

In Principal Asset Management positions, you are required to observe an Investment Code of Ethics regarding conduct and personal trading for yourself and those living with you. Other positions within the organization may have similar obligations.

About Principal Financial Group Inc

Principal Financial Group Inc Careers

Join the dynamic team at Principal Financial Group Inc, a global leader in investment management and retirement services. At Principal, we are committed to helping individuals and businesses achieve financial security and success, making now the perfect time to explore job opportunities with us.

Work You’ll Do

Embark on a career at Principal Financial Group Inc and contribute to our mission of empowering financial well-being across the globe. Our company offers a wide range of positions, from finance to technology, where your skills will help shape the future of financial services.

Innovate and Lead

At Principal, innovation and leadership go hand in hand. We provide a platform where your ideas can lead to groundbreaking financial solutions, driving growth and efficiency. Join our team and be at the forefront of industry-leading projects that redefine what is possible in the financial sector.

Grow Your Career

Principal Financial Group Inc is not just a company; it's a place where you can grow professionally and personally. We support career advancement through professional development programs, leadership training, and opportunities for networking and mentorship. Our commitment to diversity and inclusion ensures that all team members have the opportunity to succeed.

Experience Our Culture

Our culture is built on collaboration, respect, and a commitment to excellence. We believe in fostering a supportive environment where every team member’s contribution is valued. Enjoy benefits that support both your professional and personal life, and work alongside colleagues who are passionate about making a difference.

Internship and Employment Opportunities

Whether you're starting your career or looking to make a significant impact in your professional journey, Principal offers a range of internship and employment opportunities. Gain hands-on experience, work on real-world projects, and learn from leaders in the financial industry.

Join Our Team

Ready to take the next step in your career? Explore the job opportunities at Principal Financial Group Inc. We are hiring creative, curious, and motivated individuals who are ready to drive innovation and lead with integrity. Check out our open positions, tailor your resume, and prepare for an interview that could lead to your next great adventure.

Stay Connected

Keep up to date with the latest from Principal Financial Group Inc by following our careers blog. Get insider perspectives, tips for a successful interview, and the latest news on the financial industry that you can apply directly to your career.

Networking and Professional Development

At Principal, your growth is our priority. Enhance your professional skills through comprehensive training programs and connect with industry leaders and peers through our robust networking events. Our commitment to your development is unwavering, as we believe it is fundamental to our collective success.

Explore Careers at Principal Financial Group Inc

Discover the exciting career paths available at Principal. From internships to leadership roles, the opportunities for professional growth are abundant. Join us and contribute to a company that values innovation, leadership, and a diverse workforce dedicated to achieving exceptional results.

Apply Today

Are you ready to make a meaningful impact in the financial services industry? Search for open positions that match your skills and interests at Principal Financial Group Inc. We look for passionate, driven, and solution-oriented team players. Start your journey with us today and be part of a team that’s redefining the future of finance.

Principal Financial Group Inc—where careers grow, innovation thrives, and leaders are made.

Learn more about Principal Financial Group Inc
Size
18,600 employees
Market Cap
$20.7 billion
Industry
Net Income
$1.3 billion
5 Year Trend
+2.7%
Revenue
$14.7 billion
NASDAQ

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