Guggenheim Partners

Control Room VP/Director

Guggenheim Partners$150K — $190K *
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's degree with 7-10+ years in Compliance, including 5+ years in Investment Banking Compliance/Control Room.
  • Fluency in FINRA and SEC regulations related to Control Room activities.
  • Deep knowledge of material non-public information (MNPI) and the management of information barriers.
  • Strong verbal and written communication abilities and professional demeanor.
  • Proficiency in Microsoft Office, especially Excel, for analytical tasks.

Responsibilities

  • Maintain the firm's watch and restricted lists for compliance adherence.
  • Conduct conflict searches across business units to identify potential issues.
  • Review various communications for compliance with watch and restricted list protocols.
  • Process 'wall-crossing' requests efficiently.
  • Assist in drafting responses to regulatory inquiries, such as FINRA underwriter questionnaires.
  • Monitor information barriers and trade activities for compliance risks.
  • Advise and oversee interactions between Research and Investment Banking, ensuring compliance.

Benefits

  • Opportunity to work closely with senior management and leaders in the investment banking sector.
  • Intensive training and development in compliance regulations and practices.
  • Dynamic, fast-paced work environment encouraging adaptability and collaboration.
  • Engagement in diverse interactions across various business units.
  • Potential for career advancement in a reputable financial institution.
Full Job Description
Job Description:

Guggenheim Securities is seeking an experienced Control Room professional to join its Control Room team. Reporting to the Head of the Control Room, this person will be responsible for partnering with business and corporate leaders of the Investment Bank, to ensure compliance with relevant reputational, regulatory, and legal requirements applicable to the Control Room. The successful candidate will interact with all levels of the organization, including senior management, and have the ability to thrive in a fast-paced environment.

Essential Job Functions
  • Maintenance of the Firm's watch and restricted lists.
  • Conduct conflict searches for relevant activity across all business units and affiliated entities.
  • Review research reports, market commentary, public appearances and non-deal roadshow requests and handle watch and restricted list considerations.
  • Process and manage 'wall-crossing' requests.
  • Assist in preparing responses to FINRA underwriter questionnaires.
  • Information barrier monitoring and watch and restricted list trade surveillance.
  • Provide advice on and monitor interactions and communications between Research and Investment Banking, including chaperoning calls/meetings between Investment Banking and Research.
  • Develop and maintain a strong relationship between Compliance and business unit professionals through effective communication.
  • Rotational weekend coverage.


Preferred Qualifications
  • Track record of effective maintenance and monitoring of Firm information barriers.
  • Excellent verbal and written communication skills and strong professional demeanor.
  • Proven ability to work well in a team, showing initiative, a positive attitude, and the motivation to complete work independently as well.
  • Ability to understand and analyze compliance issues and recommend commercially effective solutions.
  • Proficient in Microsoft Office, including the ability to work comfortably within Excel.
  • Analytical skills required to keep up with the evolving regulatory and industry environment.
  • Results-orientated focus toward action and a track record of achievement.
  • Strong written, verbal, and presentation skills.
  • Adaptability and flexibility; collaborative approach to problem solving in a fluid environment.


Basic Qualifications
  • Bachelor's degree and 7 to 10+ years of experience as a Compliance professional, within a large, full-service investment bank with a minimum of 5+ years of Investment Banking Compliance/ Control Room experience.
  • Fluent in applicable FINRA and SEC rules and enforcement and industry best practices relevant to information barriers, material non-public information and Control Room activities.
  • Deep understanding of public/private designations, MNPI determinations and considerations and the purpose and application of sales, trading, and research restrictions related to corporate finance and/or financial advisory transactions.


Work Location
  • Currently, this role is expected to be in a Guggenheim Securities branch office (San Francisco; Los Angeles; New York) at least 4 days per week.


Salary
  • Annual base salary between $150,000 and $190,000.

The base salary range represents the low and high end of the anticipated base salary range for this position. Actual base salaries may vary depending on factors such as location and experience. The range listed reflects base salary only, and the total compensation package may include other components such as incentive compensation.

About Guggenheim Partners

Guggenheim Partners is a global investment and advisory firm with more than $310 billion in assets under management. The firm provides expertise in investment management, investment banking, and insurance services to institutions, governments, and individuals. Guggenheim Partners is headquartered in New York City and has offices in more than 25 cities worldwide. The firm was founded in 1999 by a group of senior executives from Salomon Brothers.
Learn more about Guggenheim Partners
Size
2,000 employees
Industry

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