Senior Regulatory Oversight Specialist

Vanguard Group, Inc.

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

Qualifications

  • Undergraduate degree or equivalent experience; graduate degree preferred.
  • Minimum three years of experience in financial services, regulatory, and brokerage operations, compliance, or auditing.
  • Requires regulatory licenses such as Series 7, Series 63, and Series 66 or ability to obtain them.
  • Ability to work independently and efficiently, meeting deadlines consistently.
  • Strong growth mindset with a focus on regulatory oversight and risk mitigation.
  • Proven capability in project management and continuous process improvement.
  • Excellent interpersonal skills to foster cross-functional relationships.

Responsibilities

  • Assist with complex internal audits, risk assessments, and regulatory inspections.
  • Provide regulatory oversight and ensure thorough compliance documentation.
  • Analyze market and regulatory trends to inform oversight processes.
  • Present key findings to senior management and track supervision evidence.
  • Develop and enhance relationships across business areas and with external partners.
  • Work independently in a fast-paced environment to support team objectives.
  • Participate in special projects and other assigned duties.

Benefits

  • Comprehensive health and wellness programs.
  • Opportunities for professional development and continuous learning.
  • Supportive work environment fostering collaboration and communication.
  • Engagement in special projects and innovative initiatives.
Full Job Description
Summary

The role will conduct effective and unbiased oversight supporting the Personal Investor's product and service offerings. The oversight expands across both crew and direct leader duties to ensure compliance with the policy and procedures set forth to support Personal Investor's evolving product and service offerings and evolving regulatory landscape. The ideal candidate should possess a high degree of attention to detail, a learner's mindset, and the ability to work in an ambiguous environment.

Responsibilities

  • Assists and supports the Registered Principals Responsible (RPR) with complex internal audits, risk assessments, OSJ inspections, FINRA and SEC inspections, and regulator requests for Written Supervisory Procedures (WSPs).
  • Provide Regulatory Oversight for aligned businesses and ensure completion of all evidencing for Representative Supervision WSP work being done across Front Office businesses. Supports other delegate work as needed.
  • Interprets current market, regulatory, and industry news to identify areas of opportunity within the oversight process through trending, gaps, and process change/workflows. Works with Legal and Compliance to ensure the process update is compliant with industry regulation changes, system enhancements, and industry best practices.
  • Presents higher than tier one level work key findings to the RPRs and key management. Records the evidence of supervision, tracks and documents follow-up and resolution, analyzes trends, documents process improvements/changes and the rational made to procedures.
  • Develops, maintains, and broadens effective working relationships across applicable process owner's business areas and external business partners. Fosters lines of communication between, and with, business contacts, the Legal Department, Compliance Department colleagues, Risk, and personnel and control groups.
  • Work independently in a fast-paced environment. Contributes to a positive and productive environment. Continually strives to assist the team in meeting team and department goals.
  • Participates in special projects and performs other duties as assigned.


Requirements:

  • Undergraduate degree or equivalent experience required. Graduate degree preferred.
  • Minimum three years business experience with financial services, Regulatory, and brokerage operations, compliance, investment, or auditing experience preferred.
  • This job requires regulatory licenses and/or registration (e.g. FINRA, state, SFC) or ability to obtain in a designated period of time. Licenses needed: Series 7, Series 63, and Series 66.
  • Demonstrated ability to work efficiently and independently with a commitment to meeting deadlines.
  • Maintain a growth mindset with a passion for regulatory oversight, compliance excellence, and risk mitigation.
  • Proven project management capabilities with a focus on continuous process improvement.
  • Strong interpersonal skills with the ability to build and maintain effective cross-functional relationships.


Special Factors

Sponsorship
Vanguard is not offering visa sponsorship for this position.

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