Compliance Supervisor

Vanguard Group, Inc.

$75K — $95K *
Finance & Insurance
Less than 5 years of experience
Job Overview by Ladders

Qualifications

  • Minimum of three years of relevant experience in compliance or licensing operations.
  • Undergraduate degree or equivalent training.
  • Possession of regulatory licenses such as FINRA series 7 and 24 is required.
  • Experience in team leadership with a focus on staff development and performance management.
  • Knowledge of regulatory frameworks and compliance standards in the financial services industry.

Responsibilities

  • Hire, evaluate, and supervise team members while developing their skills and performance.
  • Oversee the collection of licensing materials and ensure submissions are timely and accurate.
  • Manage the compliance-focused licensing and registration database effectively.
  • Monitor team compliance with licensing requirements and coordinate necessary training.
  • Respond to team inquiries and assist in resolving licensing-related issues.
  • Stay updated on regulatory and market developments to guide the team effectively.
  • Engage in special projects as assigned to support broader operational goals.

Benefits

  • Comprehensive training programs for professional development.
  • Opportunities for career progression within the organization.
  • Collaboration with regulatory bodies for industry compliance.
  • Supportive team culture focused on compliance and readiness.
  • Access to industry news and resources for ongoing learning.
Full Job Description
This role leads a team responsible for ensuring all licensing and registration requirements are met accurately and on time, supporting Vanguard's regulatory compliance across the business. The leader will develop and coach crew, oversee licensing operations and data integrity, and partner with compliance and regulatory bodies to resolve issues and close gaps. This position combines people leadership, operational oversight, and industry expertise to drive a strong culture of compliance and readiness.

Core Responsibilities

1. Hires, evaluates, and supervises crew. Provides guidance and training as necessary to develop crew. Sets performance standards, reviews performance, and makes informed compensation decisions in accordance with all applicable Human Resources policies and procedures.

2. Oversees a team responsible for collecting all materials required for licensing submissions and renewal. Ensures that licensing and registration is handled according to established deadlines. Regularly reviews qualifications, role requirements, and filings to resolve gaps and ensure compliance.

3. Oversees a team responsible for maintaining Vanguard's licensing and registration database. Reviews and maintains continued education training and study resources. Coordinates mandatory training related to gaining or maintaining registration, independently or in conjunction with compliance policy and training.

4. Regularly reviews crew status against licensing and registration requirements. Sends reminder notices to crew. Coordinates schedules and testing enrollment.

5. Responds to crew inquiries and contributes to the resolution of testing and continuing education issues.

6. Develops and maintains a broad knowledge of the investment industry. Keeps abreast of the current market, regulatory and industry news. Serves as a specialist and provides guidance to the team on compliance related issues. Interacts as a liaison to regulatory agencies.

7. Participates in special projects and performs other duties as assigned.

Qualifications
  • Minimum of three years related work experience.
  • Undergraduate degree or equivalent combination of training and experience.
  • This job requires a regulatory license and/or registration (FINRA 7 & 24)

Special Factors

Sponsorship
Vanguard is not offering visa sponsorship for this position.

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