Wedbush Securities

AVP, Compliance Control Room

Wedbush Securities$99K — $118K *
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's Degree from an accredited university
  • 5+ years of experience in compliance at a broker-dealer, investment manager, or US bank
  • Strong understanding of confidentiality and non-public information management
  • Familiarity with FINRA, SEC, and other regulatory frameworks
  • Proficiency in Microsoft Office Suite (Outlook, Word, Excel, PowerPoint)
  • Exceptional organizational skills to handle multiple projects and competing priorities
  • High ethical standards and strong communication skills

Responsibilities

  • Analyze data using business intelligence tools to identify risk indicators
  • Implement and maintain compliance policies, including watch and restricted lists
  • Monitor employee trading, communications, and compliance testing
  • Oversee employee gifts, political contributions, and outside business activities
  • Facilitate dialogue between restricted employee groups and address compliance issues
  • Draft and recommend enhancements for compliance policies and procedures
  • Conduct training for employees on compliance laws and regulations

Benefits

  • Inclusive culture that values diverse contributions
  • Equal opportunities for advancement
  • Access to discretionary incentive compensation based on performance
  • Commitment to employee growth and development
  • Provides a hybrid work environment based in New York City
Full Job Description
Job Description
We are currently seeking an AVP, Compliance Control Room, who will oversee controls designed to mitigate conflicts of interest, protect confidential information, and preserve the integrity of the firm's information barriers. This is a hybrid role that can be based in New York City.

Responsibilities include, but are not limited to:
  • Analyze data and derive insights and risk indicators with the help of business intelligence tools
  • Assist in implementing information barrier policies and procedures by maintaining the watch and restricted lists, deal lists and handling conflicts clearance
  • Monitor employee personal trading and electronic communications and perform periodic compliance testing/surveillance
  • Monitor employee gift & entertainment, political contributions, and outside business activities
  • Communicate with Sales, Trading, Research, Investment Banking personnel regarding specific firm transactions and compliance related issues
  • Participate in the drafting of compliance related policies and procedures, making recommendations to develop or enhance business unit procedures as they relate to Compliance Control Room (CCR)
  • Act as the gatekeeper and chaperone with respect to permitted conversations between the restricted groups of employees and potential compliance issues arising out of monitored interactions
  • Respond to compliance related questions from management and staff
  • Assist in keeping the CCR current on relevant regulatory changes
  • Develop and implement compliance related monitoring and compliance metrics relevant to CCR functions; performing and/or overseeing information for compliance reporting to management
  • Develop, coordinate and deliver initial and ongoing training for employees on compliance requirements of designated laws, regulations, and policies
  • Analyze and report of relevant risk indicators and assist in identifying and remediating emerging compliance risks
  • Manage multiple, deadline-oriented tasks in a fast-paced environment
  • Respond to regulatory inquiries, interacting with regulatory examiners and internal auditors, and provide advice and guidance to business partners
  • Perform other duties as required and assigned


Experience and Skills
  • Bachelor's Degree from an accredited university required
  • Minimum 5 years experience at a registered broker-dealer, investment manager, or US bank
  • Solid understanding of the nature of protection of information, in particular managing confidential and material non-public information
  • Understanding of FINRA, SEC and other regulatory requirements
  • Proficient in Microsoft Office (Outlook, Word, Excel, PowerPoint)
  • Ability to manage controls to prevent and detect insider trading by employees
  • Highly organized with the ability to multi-task and manage multiple projects and competing priorities without sacrificing accuracy or efficiency
  • High levels of ethics, integrity and judgment
  • Excellent communication and presentation skills with the ability to communicate effectively across various departments and levels of the organization
  • Extremely detail-oriented, strong analytical, problem-solving and critical-thinking skills
  • Self-starter able to work independently with minimal supervision as well as within a fast-paced team environment


Job Benefits
Wedbush Securities (WS) aims to foster a culture of inclusion where all Colleagues are valued for their unique contributions to the firm provided equal opportunities to succeed.

The reasonable estimate of the compensation range for this role has not been adjusted for the applicable geographic location. A reasonable estimate of the current range is $48.00/hr to $57.00/hr. Colleagues may be eligible for additional, discretionary incentive compensation based on the colleague's and the firm's performance. Decisions regarding compensation are determined on a case-by-case basis and are dependent on a variety of factors including but not limited to location; skill sets; experience and training; licensure and certifications; and other business and organizational needs.

About Wedbush Securities

Wedbush Securities is a financial services firm that provides investment banking, brokerage, and advisory services to clients in the United States and internationally. The company was founded in 1955 and is headquartered in Los Angeles, California. Wedbush Securities offers a wide range of services, including equity research, institutional sales and trading, wealth management, and investment banking. The company has a strong reputation for its expertise in the technology, healthcare, and consumer sectors. Wedbush Securities is a subsidiary of Wedbush, Inc., which is a privately held financial services holding company.
Learn more about Wedbush Securities
Size
1,000 employees
Industry

Similar Jobs

More Jobs at Wedbush Securities

More Finance & Insurance Jobs

Find similar AVP, Compliance Control Room jobs: