Kroll

Director, Compliance Consulting

Kroll$150K — $180K *
Finance & Insurance
8 - 10 years of experience
Job Overview by Ladders

Qualifications

  • 10-20+ years of compliance experience in RIAs, broker-dealers, or RICs
  • Strong knowledge of Investment Advisers Act, FINRA regulations, and '40 Act
  • Experience with compliance programs, including regulatory filings
  • Familiarity with SEC and FINRA examination processes
  • Proven business development skills to grow client relationships
  • Demonstrated team leadership and organizational abilities
  • Bachelor's degree required; JD or MBA preferred
  • Relevant industry certifications (CAMS, FINRA licenses)

Responsibilities

  • Lead senior-level client relationships as the main contact for compliance guidance
  • Serve as a senior consultant or Outsourced CCO for financial clients
  • Develop and implement customized compliance programs and procedures
  • Advise clients on Advisers Act obligations and regulatory exams
  • Support clients on '40 Act compliance and related matters
  • Assist with SEC and FINRA regulatory inquiries
  • Review marketing materials for compliance with various regulations
  • Monitor regulatory developments and advise clients on implications
  • Drive business development and identify new opportunities
  • Mentor and develop team members and contribute to practice culture
  • Contribute to thought leadership through publications and webinars

Benefits

  • Opportunity to join an award-winning global compliance consulting practice
  • Chance to lead and grow key client relationships
  • Supportive environment for professional development and mentorship
  • Engagement in strategic growth initiatives
  • Participation in thought leadership activities
Full Job Description
Job Description

Director - US FSCR - Compliance Consulting

At Kroll, you will lead the delivery of expert compliance guidance to a diverse range of financial firms, including registered investment advisers, broker-dealers, and registered investment companies. As a senior leader within the practice, you will own and grow key client relationships, serve as a trusted advisor to senior executives and boards, develop and mentor the broader team, and help drive the strategic growth of our award-winning global compliance consulting practice.

Responsibilities

We are seeking an experienced, client-focused leader with deep knowledge of the Investment Advisers Act of 1940, FINRA rules and regulations, and the Investment Company Act of 1940 ('40 Act) a plus. The ideal candidate owns a portfolio of client relationships, provides strategic direction on complex compliance matters, leads and develops engagement teams, drives business development, and helps shape the growth, culture, and thought leadership of the practice. This includes but is not limited to:
  • Own senior-level client relationships as the primary point of contact for strategic compliance guidance, leading and coordinating engagement teams to ensure high-quality, timely delivery across a portfolio of clients
  • Serve as a senior consultant and/or Outsourced CCO for registered investment advisers (RIAs), broker-dealers, or registered investment companies (RICs) clients- providing strategic oversight of compliance programs, codes of ethics, conflicts of interest, and regulatory filings (Forms ADV, PF, BD; U4/U5) under the Advisers Act, Investment '40 Act, and FINRA rules.
  • Develop and implement tailored compliance programs, including written policies, procedures, testing, and surveillance in accordance with Rule 206(4)-7 (Advisers Act), Rule 3120/3130 (FINRA), and Rule 38a-1 ('40 Act)
  • Advise clients on Advisers Act obligations including leading new registrations for RIAs and ERAs and regulatory exams or inquiries
  • Support registered investment companies, closed-end funds, and BDCs on '40 Act compliance, board reporting, and co-investment relief matters
  • Assist with SEC and/or FINRA regulatory inquires
  • Review marketing materials for FINRA, SEC, '40 Act compliance; support FINRA membership applications and mock regulatory examinations
  • Monitor regulatory developments, SEC examination priorities, and enforcement trends affecting RIAs, broker-dealers, and registered funds, and advise clients on their strategic implications
  • Drive business development by identifying new opportunities, leading proposals, expanding existing engagements, and cultivating relationships with prospects and referral sources
  • Lead, mentor, and develop team members, including junior staff, and contribute to the growth, training, and culture of the practice
  • Contribute to thought leadership through publications, webinars, and speaking engagements that enhance Kroll's market presence and brand


Requirements
  • 10-20+ years of compliance experience supporting RIAs, broker-dealers, and/or RICs, including a track record of leading engagements and client relationships
  • Strong working knowledge of the Investment Advisers Act of 1940, FINRA rules and regulations, and the '40 Act
  • Experience registering and managing compliance programs, including policies and procedures, testing, and regulatory filings (Form ADV, BD, U4/U5)
  • Familiarity with SEC examination processes, FINRA oversight, and regulatory remediation
  • Regulatory compliance experience within a payments fintech, crypto exchange, money services business, bank, or similar financial services firm, with a focus on digital asset or cryptocurrency compliance- a plus but not required
  • Proven ability to originate and close new business and expand existing client relationships
  • Excellent client communication, team leadership, and organizational skills, with demonstrated ability to develop talent and manage engagement teams
  • Proven ability to lead and grow multiple client engagements while contributing to business development and a collaborative team culture
  • Bachelor's degree required; JD or MBA a plus
  • Relevant industry certifications (CAMS, FINRA licenses etc.)


Additional but not required:
  • Experience advising CTAs, CPOs, and FCMs on NFA and CFTC requirements, including registration, compliance programs, and exam preparedness
  • Familiarity with U.S. Money Transmitter Licenses (MTLs), FinCEN MSB registration, and state financial licensing processes
  • Familiarity with bank charter formation, including de novo charter (OCC, state) and FDIC deposit insurance applications

Interested candidates must formally apply via: careers.kroll.com

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About Kroll

Kroll is a corporate investigations and risk consulting firm headquartered in New York City. Established in 1972, Kroll has nearly 5,000 employees in 30 countries and territories. The current CEO is Jacob Silverman.
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