T Rowe Price Group, Inc

Senior Manager, Investment Compliance

T Rowe Price Group, Inc$110K — $188K *
Finance & Insurance
8 - 10 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's degree or equivalent education and experience.
  • Over 8 years of relevant work experience.
  • Familiarity with trading and compliance systems, particularly Charles River or similar platforms.
  • Deep understanding of various investment products like equities, fixed income, and derivatives.
  • Experience in leading teams or functions within Investment Compliance.
  • Proven track record in managing cross-functional initiatives in a risk-controlled environment.
  • Strong analytical and problem-solving abilities.

Responsibilities

  • Lead pre-trade, post-trade, and batch compliance monitoring activities using Charles River (CRD).
  • Act as a subject matter expert on complex compliance guidelines, collaborating with various stakeholders.
  • Oversee manual monitoring processes, prioritizing automation for efficiency and scalability.
  • Manage compliance violation resolutions and conduct root cause analyses for systemic issues.
  • Collaborate with teams to enhance the firm's rule library and monitoring framework.
  • Spearhead automation and innovation initiatives to optimize monitoring effectiveness.
  • Direct responses to changes in regulations and new investment products to ensure compliance.

Benefits

  • Competitive compensation
  • Annual bonus eligibility
  • 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
Full Job Description
Role Summary

At T. Rowe Price, our mission is to help clients achieve their long-term financial goals. As part of Global Investment Operations (GIO) Investment Compliance is a global team responsible for helping ensure portfolios are managed in accordance with regulatory, prospectus, client-directed, internal investment, and operational restrictions. This role offers the opportunity to lead a highly visible monitoring function with broad impact across the firm, partnering with senior stakeholders to strengthen controls, guide complex compliance matters, and advance scalable, risk-based monitoring practices in a dynamic global environment.

The Senior Manager, Investment Compliance leads the Monitoring function and is responsible for the strategic direction, governance framework, and execution oversight of compliance monitoring activities within the firm's Investment Compliance monitoring system, Charles River (CRD), as well as associated client reporting processes. The role partners with senior stakeholders across Investment, Legal, Risk, and Operations to support effective interpretation and implementation of compliance restrictions and to drive process improvements, operating model enhancements, and third-party oversight aligned with Investment Compliance priorities.

Responsibilities
  • Lead the execution and oversight of pre-trade, post-trade, and batch compliance monitoring activities within Charles River (CRD).
  • Serve as a subject matter expert and advisor on complex compliance guideline interpretations, partnering with Trading, Investment, Client, Legal, Risk, and Operations stakeholders.
  • Own the governance and risk assessment of manual monitoring processes, including prioritization of automation opportunities to improve scalability, control effectiveness, and operational efficiency.
  • Manage the identification, escalation, and resolution of compliance violations, including analysis of systemic issues and guidance on remediation.
  • Partner with Investment Compliance Implementation to refine and improve the firm's rule library and monitoring framework.
  • Partner with Investment Compliance Business Solutions to identify and implement solutions that mitigate risk and address process inefficiencies.
  • Provide leadership and oversight of Monitoring contributions to Global Client Investment Reporting (GCIR).
  • Lead automation and innovation initiatives, including enhancements and AI-enabled tools that improve monitoring accuracy, consistency, and efficiency.
  • Drive the strategic roadmap for process improvement and rule optimization using trend analysis and data-driven insights.
  • Lead complex, cross-functional initiatives affecting Monitoring, including system enhancements, regulatory implementation, and operating model changes.
  • Direct responses to regulatory changes and new investment products to ensure appropriate monitoring coverage and ongoing compliance readiness.
  • Establish standards for documentation, procedures, and control design to support consistency, governance, and audit readiness.
  • Lead and develop team members by setting performance expectations, strengthening team capability, and supporting talent development and succession planning.
  • Provide oversight of outsourced monitoring activities, including vendor performance reviews, issue remediation, and support for vendor-related due diligence as needed.
  • Drive alignment across global teams to ensure consistency in monitoring practices, governance standards, and execution.


Qualifications

Required:
  • Bachelor's degree or the equivalent combination of education and relevant experience AND
  • 8+ years of total relevant work experience


Preferred:
  • Experience with trading, order management, and compliance systems, specifically Charles River or similar platforms.
  • Strong understanding of investment products, including equities, fixed income, and derivatives.
  • Experience leading teams or functional areas within Investment Compliance.
  • Demonstrated ability to lead complex cross-functional initiatives and drive process transformation in a risk-controlled environment.
  • Strong analytical, research, and problem-solving skills, with the ability to interpret complex issues and identify practical solutions.
  • Strong attention to detail, sound judgment, and the ability to adapt and lead effectively in a dynamic, trading-related environment.
  • Strong interpersonal, written, and verbal communication skills, with the ability to influence and collaborate effectively across stakeholders.


FINRA Requirements

FINRA licenses are not required and will not be supported for this role.

Work Flexibility

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

Applicants for employment in the US must have work authorization that does not now or in the future require sponsorship of a visa for employment authorization in the United States (e.g., H1-B visa, F-1 visa (OPT), TN visa or any other non-immigrant work status).

Base Salary Ranges

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

$110,000.00 - $188,000.00 for the location of: Maryland, Colorado, Washington and remote workers
$121,000.00 - $207,000.00 for the location of: Washington, D.C.
$138,000.00 - $236,000.00 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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