Director, Broker Dealer Supervision Senior Strategist

Vanguard Group, Inc.

• $135K — $160K *
Finance & Insurance
8 - 10 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor’s degree required; advanced degree (JD, MBA, or related field) preferred.
  • Minimum 10 years of experience in financial services, with at least 5 years in supervision, compliance, or risk management roles.
  • Demonstrated expertise in supervision program design, control implementation, and strategic execution.
  • Strong project management and change leadership skills; proven ability to drive cross-functional initiatives.
  • Deep understanding of broker-dealer regulatory frameworks, including FINRA, SEC, and state regulations.
  • Excellent communication and stakeholder engagement skills; active FINRA Series 7 and 24 required; Series 9/10 is a plus.

Responsibilities

  • Lead the design and implementation of strategic supervisory initiatives.
  • Serve as a subject matter expert for supervision modernization and risk-based monitoring.
  • Develop and maintain comprehensive supervisory program documentation.
  • Coordinate cross-functional groups to align supervision practices with regulations and business objectives.
  • Support the integration of supervisory controls within business processes and governance.
  • Monitor industry trends and regulatory developments to guide program enhancements.
  • Contribute to regulatory exams and audits by preparing relevant documentation.
  • Provide strategic support to the Head of Supervision on change management and supervision strategy.

Benefits

  • Collaborative work environment and support from cross-functional teams.
  • Opportunity to influence modernization and strategic practices in supervision.
  • Engagement with top leadership and exposure to high-level decision-making processes.
  • Chance to shape compliance and regulatory approaches in a dynamic industry.
Full Job Description

The Supervision Senior Strategist is a senior-level role within the Supervision organization, reporting to the Head of Broker Dealer Supervision & Surveillance. This role is responsible for the design, development, and execution of strategic initiatives that enhance the firm’s supervisory framework. The strategist serves as a key architect and integrator of supervisory practices, driving modernization efforts, aligning supervisory models with business strategy and regulatory expectations, and enabling scalable, risk-based oversight. This role is highly cross-functional, requiring deep subject matter expertise in broker-dealer supervision and the ability to lead complex initiatives in partnership with Compliance, Risk, Legal, and business stakeholders.


Responsibilities:

  • Lead the design and implementation of strategic supervision initiatives, including the development of supervisory models, escalation frameworks, and role-based oversight structures.
  • Serve as a subject matter expert and program lead for supervision modernization efforts, including risk-based monitoring, digital enablement, and control optimization.
  • Develop and maintain supervisory program documentation, including frameworks, operating models, and execution playbooks.
  • Coordinate cross-functional working groups to align supervision practices with regulatory expectations, internal policies, and business objectives.
  • Support the uplift and integration of supervisory controls into business processes, technology platforms, and governance routines.
  • Monitor industry trends, regulatory developments, and internal risk indicators to inform program enhancements and strategic planning.
  • Contribute to regulatory exams, internal audits, and supervisory certifications by preparing program documentation and evidence of execution.
  • Provide thought leadership and strategic support to the Head of Supervision on program design, change management, and long-term supervision strategy.

Qualifications:

  • Bachelor’s degree required; advanced degree (JD, MBA, or related field) preferred.
  • Minimum 10 years of experience in financial services, with at least 5 years in supervision, compliance, or risk management roles.
  • Demonstrated expertise in supervision program design, control implementation, and strategic execution.
  • Strong project management and change leadership skills; ability to drive cross-functional initiatives from concept to execution.
  • Deep understanding of broker-dealer regulatory frameworks, including FINRA, SEC, and state regulations.
  • Excellent communication, documentation, and stakeholder engagement skills; active FINRA Series 7 and 24 required; Series 9/10 is a plus.


Special Factors

Sponsorship

Vanguard is not offering visa sponsorship for this position.

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