T Rowe Price Group, Inc

Director, Regulatory Advisory Compliance

T Rowe Price Group, Inc • $143K — $245K *
Finance & Insurance
8 - 10 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's degree or equivalent and 10+ years in investment adviser compliance or regulatory consulting.
  • FINRA Series 7, 65, and 24 licenses required.
  • Experience with SEC-registered investment advisers and advisory solutions under Investment Advisers Act of 1940.
  • Familiarity with managed accounts, wrap fee programs, and retirement advisory services.
  • Understanding of regulatory intersections across advisory, broker-dealer, and retirement models.
  • Proven ability in drafting and reviewing regulatory documents.

Responsibilities

  • Serve as a senior expert and adviser on investment advisory products and strategic initiatives.
  • Lead and develop a compliance team by allocating work and providing coaching.
  • Offer regulatory guidance throughout advice offerings' lifecycles.
  • Evaluate cross-entity interactions to identify regulatory impacts.
  • Apply regulations including fiduciary duty and privacy requirements.
  • Draft and review regulatory documents in partnership with assurance partners.
  • Advise on governance and monitoring pertaining to compliance programs.
  • Assess emerging advisory capabilities and engage legal experts as necessary.
  • Support due diligence of third parties and identify risk needs.
  • Lead cross-functional regulatory initiatives and assist with audits.

Benefits

  • Competitive compensation package.
  • Eligibility for annual bonuses.
  • Generous retirement plan options.
  • Support for hybrid work arrangements.
  • Health and wellness benefits, including online therapy access.
  • Paid time off for various needs, including volunteer days.
  • Family care resources, such as fertility and adoption benefits.
Full Job Description
Role Summary

In this role as Director, Investment Advisory Compliance, you will lead a team within T. Rowe Price's Compliance & Risk Management organization and provide regulatory guidance and independent oversight across the firm's client-facing investment advisory business and advice offerings. The role is responsible for execution strategy, risk-based prioritization, and senior stakeholder alignment across distribution and assurance business units.

The successful candidate will bring extensive experience supporting SEC-registered investment advisers, broker-dealer trading, and operations with complex, multi-entity financial services organizations. The role spans current and emerging advisory and wealth capabilities and requires the ability to translate regulatory requirements into practical guidance, disclosures, policies, controls, supervision, training, and governance across legal entities, client channels, and third-party relationships.

Responsibilities
  • Serves as a senior Compliance & Risk Management subject-matter expert and trusted adviser for investment advisory products, emerging wealth capabilities, strategic initiatives, and material program changes.
  • Leads and develops a team of Compliance professionals by setting priorities, allocating work, providing coaching and feedback, evaluating performance, and building team capabilities.
  • Provides regulatory guidance throughout the lifecycle of an advice offering and evaluates business models, client journeys, associate responsibilities, fees, disclosures, technology, investment methodology, operations, supervision, and controls.
  • Assesses interactions among registered investment advisers, broker-dealers, retirement and workplace businesses, affiliated entities, custodians, recordkeepers, sub-advisers, and other service providers to identify cross-entity and cross-regulatory impacts.
  • Applies the Investment Advisers Act of 1940 and related requirements, including fiduciary duty, conflicts of interest, Form ADV, advisory agreements, wrap-fee programs, marketing, fees and billing, trading, custody, books and records, privacy, and supervision.
  • Partners with assurance partners to draft and/or review regulatory documents, including Form ADV filings and brochures, advisory agreements, client disclosures, policies and procedures, governance materials, and examination responses, and provides independent review and effective challenge of related business proposals and implementation decisions.
  • Advises on compliance-program governance, including risk assessments, policies and procedures, monitoring and testing, training, management reporting, regulatory change, and continuous improvement.
  • Assesses emerging advisory and wealth capabilities, including digital and hybrid advice, tax-aware investing, insurance and estate-related services, and third-party professional relationships, and engages Legal or specialized subject-matter experts as appropriate.
  • Supports regulatory due diligence and oversight of material third parties and evaluates incidents, complaints, monitoring results, regulatory developments, and examination findings for broader risk, escalation, and remediation needs.
  • Leads complex cross-functional regulatory initiatives, represents Compliance & Risk Management in governance forums, and supports examinations, audits, compliance testing, and remediation activities.


Qualifications

Required:
  • Bachelor's degree or the equivalent combination of education and relevant experience and 10+ years of experience in investment adviser compliance, financial services regulatory compliance, Legal, regulatory risk, regulatory consulting, or a related discipline.
  • Series 7, 65 and 24
  • Experience supporting SEC-registered investment advisers and client-facing advisory solutions, with a strong understanding of the Investment Advisers Act of 1940 and related SEC regulations.
  • Experience working with managed accounts, wrap fee programs, financial planning, retirement, and workplace advice, digital or hybrid advice models, tax-aware investing, and other integrated wealth management solutions.
  • Understanding of how advisory, broker-dealer, and retirement regulations intersect, with experience navigating complex business models involving multiple legal entities, products, client segments, distribution channels, and third-party relationships.
  • Proven ability to draft, review, and provide guidance on regulatory and client-facing materials, including Form ADV filings and brochures, advisory agreements, client disclosures, policies and procedures, and responses to regulatory examinations or inquiries.


Preferred:
  • 5+ years of people leadership experience, with a track record of building high-performing teams through hiring, coaching, performance development, and effective workload management.
  • Experience supporting both registered investment adviser and broker-dealer businesses.
  • Experience within a large, multi-entity financial services organization and with third-party advisers, sub-advisers, custodians, or recordkeepers.
  • Experience supporting SEC or FINRA examinations, internal audits, investigations, or significant remediation efforts.
  • Relevant professional certifications, legal credentials, or advanced compliance designations.
  • Strong judgment and communication skills, with the ability to lead complex initiatives, partner effectively with senior leaders, make informed decisions in evolving situations, and identify when additional expertise or escalation is needed.

FINRA Requirements

FINRA licenses are required and will be supported for this role.

Work Flexibility

This role is eligible for hybrid work, with up to one day per week from home.

Base Salary Ranges

Please review the job posting for the location of this specific opportunity.

$143,000.00 - $245,000.00 for the location of: Maryland, Colorado, Washington and remote workers
$158,000.00 - $269,000.00 for the location of: Washington, D.C.
$179,000.00 - $306,000.00 for the location of: New York, California

Placement within the range provided above is based on the individual's relevant experience and skills for the role. Base salary is only one component of our total compensation package. Employees may be eligible for a discretionary bonus, which is determined upon company and individual performance.

Benefits

We value your goals and needs, at work and in life. As an associate, you'll be supported with resources, benefits, and work-life balance so you can thrive in ways that matter to you.

Featured employee benefits to enrich your life:

  • Competitive compensation


  • Annual bonus eligibility


  • A generous retirement plan


  • Hybrid work schedule


  • Health and wellness benefits, including online therapy


  • Paid time off for vacation, illness, medical appointments, and volunteering days


  • Family care resources, including fertility and adoption benefits


Learn more about our benefits.

About T Rowe Price Group, Inc

T. Rowe Price Group, Inc. is an American publicly owned global asset management firm that offers funds, advisory services, account management, and retirement plans and services for individuals, institutions, and financial intermediaries. The company was founded in 1937 by Thomas Rowe Price Jr. and went public in 1986. The company is headquartered in Baltimore, Maryland and has offices in 16 countries worldwide. As of December 31, 2020, the company had $1.47 trillion in assets under management. The company is listed on the NASDAQ stock exchange under the ticker symbol TROW.
Learn more about T Rowe Price Group, Inc
Size
7,529 employees
Market Cap
$24.5 billion
Industry
Net Income
$2.3 billion
Founded
1937
5 Year Trend
+12.4%
Revenue
$6.2 billion
NASDAQ

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