Robinhood

Compliance Senior Specialist

Robinhood$101K — $119K *
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • 5-10 years of compliance experience with an investment adviser
  • Deep understanding of SEC Investment Advisers '40 Act and FINRA regulations
  • Strong written, verbal, and presentation communication skills
  • Exceptional organizational skills with critical thinking ability
  • Detail-oriented self-starter with problem-solving skills
  • Ability to proactively identify and resolve compliance issues
  • Highly motivated team player thriving in an entrepreneurial environment

Responsibilities

  • Develop and implement regulatory frameworks for new business activities
  • Act as primary resource for operations and business teams across Robinhood
  • Conduct testing, audits, and risk assessments to ensure compliance controls are effective
  • Research and respond to regulatory inquiries and client complaints
  • Identify compliance vulnerabilities and propose actionable solutions
  • Build workflows for compliance requirements and conflict of interest identification
  • Foster a culture of professionalism and regulatory guidance across teams

Benefits

  • Challenging, high-impact work to advance your career
  • Performance-driven compensation, including bonuses and equity ownership
  • 100% paid health insurance for employees, with 90% coverage for dependents
  • Flexible wellness and learning spending account
  • Employer-paid life & disability insurance, fertility benefits, and mental health support
  • Generous time off policies, including holidays and parental leave
  • Exceptional office environment with catered meals and comfortable workspaces
Full Job Description
About the team + role

Robinhood Asset Management ("RAM") is a digital-first investment advisor responsible for delivering investment advice to its rapidly growing client base. RAM is continuing to expand its business activities to meet the needs of clients with broader, more complex, and comprehensive advisory needs. Working with a dedicated team of qualified relationship managers and utilizing innovative technology resources, RAM will meet the needs of its clients by delivering this unique financial planning service conveniently at their fingertips, anytime and anywhere.

The Compliance Specialist will help create and champion a culture of compliance for a new investment advisory business activity at the pre-launch and development stage. As a primary point of contact, you will coordinate with teams across the broader Robinhood spectrum to identify and solve problems, research unique issues, and collaborate to achieve a successful launch. You'll help set the path for a customer-friendly, compelling, and regulatorily compliant advisory service. You will be expected to apply the requirements of a fiduciary's duty to serve clients and have experience documenting best practices and procedures, creating surveillance tools, responding to regulatory requests and required filings, and advancing a compliance program forward in response to new rules and requirements.

This role is based in our New York, Chicago, Westlake, TX, Denver, and Menlo Park, CA office(s), with in-person attendance expected at least 3 days per week.

At Robinhood, we believe in the power of in-person work to accelerate progress, spark innovation, and strengthen community. Our office experience is intentional, energizing, and designed to fully support high-performing teams.

What you'll do
  • Develop, administer, and operationalize the regulatory framework around a new business activity, including implementation of supervisory and operational policies and procedures.
  • Be a primary resource for operations, customer service and business teams, and across Robinhood's affiliated companies
  • Conduct testing, surveillance, audits and exams, risk assessments, and annual reviews to validate supervision and controls are in place, and procedures are accurate
  • Research and respond to regulatory inquiries, exams and audits, complaint resolution, and client inquiries
  • Identify potential areas of compliance vulnerability and risk, propose solutions to resolve issues, and provide guidance for future avoidance of similar issues
  • Build essential workflows that achieve requirements including testing for books and record, establish proper information barriers, and identify conflicts of interest.
  • Foster a culture of professionalism, client advocacy, and regulatory guidance within a fast-paced atmosphere of innovation and collaboration across several teams.
  • Demonstrate strong subject matter expertise, while allowing for out-of-the-box thinking, with a goal of providing superior client experience.
  • Work as a team, supporting compliance needs across RAM when needed.
What you bring
  • 5-10 years compliance experience with an investment adviser
  • Deep understanding of SEC Investment Advisers '40 Act and FINRA and regulations
  • Demonstrated written, verbal, and presentation skills to communicate ideas and information in a clear, concise manner, whether directly to co-workers, leadership teams, and committee members, as well as regulators.
  • Exceptional organizational skills with an ability to think critically, solve problems, and implement process improvements.
  • Self-starter who pays close attention to the details.
  • Awareness to spot and identify issues and proactively take steps to resolve.
  • Trustworthy, highly-motivated, multi-task oriented, and ability to thrive in an entrepreneurial environment, while pushing products and projects toward the finish line.
What we offer
  • Challenging, high-impact work to grow your career.
  • Performance-driven compensation with multipliers for outsized impact, bonus programs, equity ownership, and 401(k) matching.
  • Best-in-class benefits to fuel your work, including 100% paid health insurance for employees with 90% coverage for dependents.
  • Lifestyle wallet - a highly flexible benefits spending account for wellness, learning, and more.
  • Employer-paid life & disability insurance, fertility benefits, and mental health benefits.
  • Time off to recharge including company holidays, paid time off, sick time, parental leave, and more!
  • Exceptional office experience with catered meals, events, and comfortable workspaces.


In addition to the base pay range listed below, this role is also eligible for bonus opportunities + equity + benefits.

Base pay for the successful applicant will depend on a variety of job-related factors, which may include education, training, experience, location, business needs, or market demands. The expected base pay range for this role is based on the location where the work will be performed and is aligned to one of 3 compensation zones. For other locations not listed, compensation can be discussed with your recruiter during the interview process.

Base Pay Range:

Zone 1 (Menlo Park, CA; New York, NY; Bellevue, WA; Washington, DC)

$115,000-$135,000 USD

Zone 2 (Denver, CO; Westlake, TX; Chicago, IL)

$101,000-$119,000 USD

Zone 3 (Lake Mary, FL; Clearwater, FL; Gainesville, FL)

$89,000-$105,000 USD

Click here to learn more about our Total Rewards, which vary by region and entity.

If our mission energizes you and you're ready to build the future of finance, we look forward to seeing your application.

About Robinhood

Robinhood is a financial services company that offers commission-free trading through its website and mobile app. The company was founded in 2013 by Vladimir Tenev and Baiju Bhatt, and is headquartered in Menlo Park, California. Robinhood's mission is to democratize finance for all by making investing accessible to everyone. The company has raised over $5 billion in funding and has over 13 million users. Robinhood has faced criticism for its business model, which relies on selling order flow to market makers, and for its handling of the GameStop trading frenzy in early 2021.
Learn more about Robinhood
Size
2,000 employees
Industry
Founded
2013

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