The Capital Group Companies, Inc

Compliance Lead

The Capital Group Companies, Inc$159K — $254K *
Finance & Insurance
Less than 5 years of experience
Job Overview by Ladders

Qualifications

  • 5-7 years of experience in compliance oversight of marketing materials for investment vehicles
  • In-depth knowledge of ETFs, mutual funds, alternative investments, and relevant regulatory frameworks
  • Expertise in securities advertising rules like SEC and FINRA regulations
  • Strong critical thinking skills for evaluating marketing communication compliance
  • Exceptional attention to detail and ability to spot enhancement opportunities
  • Experienced in managing competing priorities and navigating change
  • Excellent communication skills, both independently and in team settings

Responsibilities

  • Provide compliance oversight and review of marketing materials for retail and institutional investors
  • Guide internal stakeholders on regulatory requirements and internal guidelines
  • Collaborate with global legal and compliance teams to ensure aligned business decisions
  • Review communication materials to ensure compliance with advertising rules
  • Evaluate recordkeeping requirements for marketing communications
  • Identify quality enhancement opportunities within the compliance process
  • Effectively manage deadlines and maintain high standards in communication

Benefits

  • Eligible for an annual performance bonus based on individual and company performance
  • Participation in an annual profitability bonus
  • Retirement plan contributions of 15% of eligible earnings from the company
  • Focus on a collaborative and respectful work environment
  • Support for ongoing professional development through teamwork and varied perspectives
Full Job Description
As a Compliance Lead within our sales literature review team in Legal & Compliance, you will provide compliance oversight and review of marketing materials for retail and institutional investors in various investment vehicles, including ETFs, mutual funds, alternative investments, separately managed accounts, and collective investment trusts. You will work with global teams of highly experienced lawyers and compliance and risk professionals who work collaboratively to guide business decisions that make an impact in our highly regulated environment. Every day, you will provide guidance to internal stakeholders on the applicability of rules and regulatory requirements, internal guidelines and disclosure standards, and other risk related issues when reviewing communication materials. To thrive in this role, you're experienced in reviewing marketing communications, you enjoy providing necessary guidance to writers and others, and you are passionate about staying informed about advertising and sales literature regulatory policies. - You have in depth knowledge of various investment vehicles including ETFs, mutual funds, alternative investments, separate accounts, SMAs and CITs, and experience with the regulatory framework applicable to marketing communications used by broker/dealers and RIAs to offer and promote the vehicles. - You're well versed in the rules governing securities advertising and have detailed knowledge of investment and economic concepts. You're comfortable acting as a subject matter expert with marketing department associates and providing guidance on applicable regulatory requirements. - You have experience with the applicable advertising rules (e.g., SEC Marketing Rule, FINRA 2210 and 2212, SEC Rule 482, etc.) related to the implementation of required policies and procedures as well as application of the rules to advertisements. - You're able to apply critical thinking and sound regulatory judgment when evaluating recordkeeping requirements for marketing communications, ensuring marketing materials, approvals, supporting substantiation, and related review records are maintained in accordance with SEC, FINRA, and firm recordkeeping standards. - Attention to detail is a key attribute by which you define yourself. You're highly observant and can identify opportunities to enhance the control environment through sound business recommendations. - You're familiar with project life cycles and are motivated to meet deadlines without sacrificing quality. Your resilience has helped when you've enlisted the help of others, sifted through large data sets, re-prioritized, strategized, tailored communication, embraced conflict and identified critical issues. - You are able to manage competing priorities. You are comfortable when priorities shift, and you manage change with steadfast composure. - You are comfortable leveraging technology to improve efficiency and take initiative to simplify and scale without sacrificing quality. - You place high value on being authentic, respectful, and engaging. Your actions demonstrate that you value collaboration and different perspectives. - By asking great questions and bouncing ideas off others, you proactively share your perspective and listen to other perspectives with an open mind. You're a skilled communicator and thrive in team settings, at the same time, you are a self-starter who excels when working independently. - You appreciate the sense of accomplishment achieved when a job is done right, or you solve a problem using your good judgment. - FINRA Series 7 & 24 licenses preferred. Charlotte Base Salary Range: $136,749-$218,798 Southern California Base Salary Range: $159,354-$254,966 In addition to a highly competitive base salary, per plan guidelines, restrictions and vesting requirements, you also will be eligible for an individual annual performance bonus, plus Capital's annual profitability bonus plus a retirement plan where Capital contributes 15% of your eligible earnings. You can learn more about our compensation and benefits here. * Temporary positions in the United States are excluded from the above mentioned compensation and benefit plans.

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