Senior Brokerage Program Compliance Specialist

Vanguard Group, Inc.

$90K — $120K *
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • Minimum of five years related experience, including two years in financial services compliance.
  • Undergraduate degree or equivalent training/experience required.
  • Regulatory license and/or registration needed (e.g., FINRA, SFC), to be determined by Compliance.

Responsibilities

  • Serve as a trusted advisor to business stakeholders and compliance partners.
  • Support compliance during regulatory inspections and inquiries, providing risk mitigation strategies.
  • Oversee the execution and maintenance of compliance policies and procedures, developing new standards as necessary.
  • Identify issues and implement corrective action plans to address compliance risks.
  • Manage process improvement initiatives, ensuring standards and deadlines are met.
  • Act as a compliance expert on regulatory matters related to business operations.
  • Participate in special projects and perform additional duties as required.

Benefits

  • Collaborative work environment emphasizing partnership with stakeholders.
  • Opportunities to leverage emerging technologies, including AI, for compliance enhancement.
  • Focus on operational excellence and efficient risk oversight.
Full Job Description

As a trusted compliance advisor, this role partners closely with stakeholders to ensure regulatory program requirementsand documentation are supported and embedded into business processes. Combining strategic thinking, compliance expertise, and a keen eye for detail, the Sr. Compliance Specialist provides guidance on what needs to be presented, updated, or enhanced while driving effective risk oversightand operational excellence. Experience leveraging emerging technologies, including AI, to improve compliance processes is highly valued.

Core Responsibilities

1. Serves as an experienced advisor to the business and interfaces regularly with business unit stakeholders and compliance partners

2. Supports the business during regulatory visits, exams, inquiries and investigations within the business. Provides guidance to mitigate compliance risks and control gaps.

3. Oversees the design, implementation, execution, and maintenance of compliance policies and procedures. Supports the development of new compliance standards.

4. Identifies and implements corrective action plans for resolution of problematic issues.

5. Manages operational efficiency and process improvement initiatives, setting measurable standards, timelines and ensuring deadlines are met

6. Serves as an expert on compliance programs and regulatory matters relevant to business operations.

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


Qualifications

  • Minimum of five years related work experience, with at least two years within a financial services compliance function.

  • Undergraduate degree or equivalent combination of training and experience.

  • This job requires a regulatory license and/or registration (e.g. FINRA, state, SFC). These will be determined by Compliance based on role-specific duties.

Special Factors

Sponsorship

Vanguard is not offering visa sponsorship for this position.

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