Compliance Lead/ CCO US Assets

Wise

$130K — $180K *
Finance & Insurance
11 - 15 years of experience
Job Overview by Ladders

Qualifications

  • 12+ years of experience in broker-dealer regulatory compliance or equivalent financial services compliance.
  • Strong knowledge of FINRA and SEC rules and expectations.
  • Active FINRA Series 7, 24, and 63 registrations required.
  • Experience leading regulatory engagement and managing inquiries or approvals.
  • Ability to translate regulatory requirements into practical, risk-based needs for cross-functional teams.
  • Strong stakeholder management skills and ability to engage with senior leadership and regulators.
  • Mentoring experience and capability to build a sustainable compliance model.

Responsibilities

  • Serve as the Chief Compliance Officer for the U.S. broker-dealer entity, ensuring regulatory compliance framework.
  • Lead the design and oversight of compliance frameworks, policies, and governance for Wise's broker-dealer.
  • Provide second line compliance oversight of the U.S. broker-dealer compliance program.
  • Ensure AML requirements are integrated into relevant workflows and risks are escalated properly.
  • Engage with regulators including FINRA and SEC on examinations, inquiries, and compliance issues.
  • Oversee licensing and registration processes for Wise US Assets Inc.
  • Offer senior compliance advice to various teams to support compliant product design and launch.

Benefits

  • Collaborative work environment in a fast-paced financial technology sector.
  • Opportunity to influence and shape the compliance landscape of a growing company.
  • Autonomy and responsibility at a senior leadership level.
  • Support for professional growth and development within compliance leadership roles.
  • Engagement with high-level regulators and governance forums.
Full Job Description
Since 2011, we've had a clear mission: money without borders. Built by and for people who live global lives, we're the fairest, easiest way to manage money across borders. Wise is scaling its Assets offering across North America, and we are looking for a Lead Compliance Manager to provide senior compliance leadership and oversight for Wise's North America Assets entities, including Wise US Assets Inc. and Wise Assets Canada Inc. This is a critical L7 role responsible for leading the development, implementation, and ongoing oversight of the broker-dealer compliance program for Wise US Assets Inc., while also supporting broader Assets regulatory and operational readiness across North America. The role will provide strong second line compliance challenge, regulatory engagement, governance, and cross-functional advisory support as Wise builds and scales its Assets product. The successful candidate will operate with a high degree of independence, partnering closely with Legal, Product, Engineering, Banking, Operations, Customer Support, Financial Crime, and senior leadership to embed regulatory requirements into product design, systems, controls, and operating processes. Your mission: Lead and scale institutional-grade compliance oversight for Wise's North America Assets entities by building strong broker-dealer compliance foundations, leading regulatory engagement, supporting licensing and registration outcomes, embedding supervisory and operational controls, and enabling compliant product launch and growth across the U.S. and Canada. Key responsibilities - In this role, you will serve as the Chief Compliance Officer (CCO) for the U.S. broker-dealer entity, holding ultimate responsibility for its regulatory compliance framework and standing with oversight bodies. - Lead the design, implementation, and ongoing oversight of the compliance framework, policies, procedures, and governance for Wise's FINRA-regulated broker-dealer. and broader North America Assets activity (including the launch of an investment dealer in Canada). - Own and provide senior 2LoD oversight of the U.S. broker-dealer compliance program, including supervisory controls, Written Supervisory Procedures, books and records, complaints, customer communications, and operational readiness. - Serve as, or support, the designated AML Officer for Wise US Assets Inc., ensuring AML requirements are embedded into relevant processes and risks are appropriately escalated. - Lead regulatory engagement with FINRA, the SEC, state regulators, and other relevant authorities, including examinations, inquiries, filings, remediation, and regulatory communications. - Oversee the state registration and licensing program for Wise US Assets Inc., including submission quality, response management, prioritization, tracking, and launch-readiness dependencies. - Provide senior compliance advice and challenge to Product, Engineering, Legal, Banking, Operations, Customer Support, Financial Crime, and other 1LoD teams to support compliant product design, launch, and scaling. - Build and oversee compliance readiness for customer support, complaints, disclosures, marketing, recordkeeping, business continuity, and other broker-dealer operating processes. - Lead compliance reporting to senior leadership and relevant regional and group governance forums, including risks, issues, metrics, regulatory updates, and launch-readiness status. - Develop and oversee monitoring, testing, issue management, and escalation processes for the broker-dealer compliance control framework. - Support the build-out of sustainable compliance coverage across North America Assets, including mentoring team members and helping shape the future U.S. and Canada operating model. A bit about you: You are an experienced compliance leader with deep broker-dealer regulatory knowledge, strong judgment, and the ability to operate independently in a fast-moving, product-led environment. You can move between detailed regulatory requirements and senior-level strategic decision-making. You are comfortable building compliance frameworks from the ground up, engaging directly with regulators, challenging senior stakeholders, and enabling compliant growth without compromising second line independence. You are practical, solutions-oriented, highly organized, and able to bring structure to ambiguity. Qualifications - 12+ years of relevant experience in broker-dealer regulatory compliance, investment compliance, or equivalent regulated financial services compliance. - Strong working knowledge of FINRA and SEC rules, broker-dealer supervisory expectations, and regulatory examination standards. - Active FINRA Series 7, 24, and 63 registrations required. - Demonstrated experience leading regulatory engagement, including examinations, inquiries, licensing, registrations, approvals, or remediation activity. - Experience building, operating, or materially enhancing a broker-dealer compliance program. - Strong understanding of second line compliance oversight, including independent challenge, escalation, governance, monitoring, testing, and issue management. - Ability to translate complex regulatory obligations into practical, risk-based requirements for Product, Engineering, Operations, Customer Support, and other cross-functional teams. - Experience advising on product launches, operational readiness, customer communications, complaints, books and records, supervisory controls, or similar broker-dealer obligations. - Strong stakeholder management skills, including the ability to work effectively with senior leadership, regulators, external counsel, consultants, and cross-functional teams. - Ability to manage multiple priorities, lead complex workstreams, and deliver outcomes in ambiguity. - Demonstrated ability to mentor others and contribute to the build-out of a sustainable compliance operating model. - Experience with Canadian investment or Assets-related regulatory requirements is a plus, but not required Additional Information If you want to find out more about what it's like to work at Wise visit Wise.Jobs. 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