• SMBC (New York, NY)
    …in real time as business is conducted and transactions are executed. **Role Objectives** The Broker Dealer Regulatory Governance Advisory Team within the ... and reporting. Regulatory Engagements: The Regulatory Governance Team supports SMBC's Broker - dealer entity in managing regulatory exams and… more
    DirectEmployers Association (10/09/25)
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  • SMBC (Jersey City, NJ)
    …knowledge of US regulatory rules, including capital requirements across banking, broker / dealer , and swap dealer entities. + Review and challenge ... issues involving our New York Branch, Bank Holding Company, broker / dealer , swap dealer and other...obligations to build firm-wide awareness and expertise. + Ensure governance and control standards are met for regulatory more
    DirectEmployers Association (11/04/25)
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  • HSBC (New York, NY)
    …navigate the R&S teams covering entities in the US (Holding company, Bank and Broker Dealer ), Mexico, Chile and Brazil. You will have responsibility for setting ... treasury topics, including specific liquidity experience and a solid understanding of Broker Dealer activity + Have experience of directing, engaging, motivating… more
    DirectEmployers Association (11/07/25)
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  • SMBC (Jersey City, NJ)
    …expert in the Regulatory Reporting Automation for BHC, Branch, Liquidity or Broker Dealer regulatory reports. This position will provide leadership to ... but not limited to reports such as the FRB reports, knowledge of broker - dealer reporting, liquidity reporting, etc.) + Experience in capital markets asset… more
    DirectEmployers Association (10/02/25)
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  • Market Risk Governance Manager

    SMBC (New York, NY)
    …frameworks - Track regulatory developments and interpret implications for swap dealer governance , reporting, and risk controls New Business and Issue ... dealer , and Nikko Risk - Lead issue governance , tracking, and compile closure packs of regulatory...estimation, documentation and internal controls). - Strong understanding of regulatory requirements applicable to Swap- Dealer , Broker more
    SMBC (11/01/25)
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  • Market Risk Governance Associate

    SMBC (New York, NY)
    …- Track regulatory developments and interpret implications for swap dealer governance , reporting, and risk controls **Qualifications and Skills** ... entity. This role will focus heavily on issue management, governance coordination, reporting and execution of key regulatory...years of experience in risk management, counterparty risk, risk governance , broker - dealer risk, or swap… more
    SMBC (10/28/25)
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  • VP, Compliance - Regulatory Initiatives…

    TD Bank (New York, NY)
    …JD desirable but not required. + 5-7 years of experience with a registered US broker dealer , swap dealer , Global Systematically Important Bank (GSIB), or ... a team(s) of specialists/professionals providing advice, guidance and expertise on regulatory requirements and assisting business units to manage their regulatory more
    TD Bank (10/12/25)
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  • Business Analyst - Regulatory Reporting

    CGI Technologies and Solutions, Inc. (Jersey City, NJ)
    …role:** . 10+ years' experience in the capital markets financial industry (Bank/FBO/ Broker Dealer ). . Extensive experience with Adenza/Axiom Controller View ... **Business Analyst - Regulatory Reporting** **Category:** Business Analysis (functional and technical) **Main location:** United States, New Jersey, Jersey City… more
    CGI Technologies and Solutions, Inc. (11/07/25)
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  • Data Quality & Issues Management Lead, Assistant…

    MUFG (New York, NY)
    …to the team from planning to resolution + Identify Key Data Elements across the broker dealer entity and key regulatory reports and ensure data quality ... more details. **Responsibilities:** + As part of the Data Governance team work across various pillars of the data...personnel to determine MSIIs / audit points. Assist the broker dealer entity in correctly Identifying the… more
    MUFG (09/23/25)
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  • Deputy Compliance Leader - Financial Services

    GE Vernova (New York, NY)
    …compliance obligations for regulated securities transactions arranged through a registered Broker - Dealer and Financial Industry Regulatory Authority (FINRA) ... Summary** GE Vernova's Ethics & Compliance Team is seeking an experienced regulatory compliance professional that will partner with GE Vernova's Financial Services… more
    GE Vernova (10/10/25)
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  • Legal Entity Control Manager - Senior Associate

    JPMorgan Chase (Jersey City, NJ)
    JPMorgan Securities LLC (JPMS LLC) is a licensed broker - dealer and investment adviser registered with the SEC and FINRA. It is also a Municipal Securities ... Dealer , Futures Commission Merchant, Commodity Pool Operator, and registered...team, you will support the LE Oversight and Control governance framework. You will partner with Lines of Business… more
    JPMorgan Chase (09/14/25)
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  • Chief Risk Officer - Private Client Group (Wealth…

    Raymond James Financial, Inc. (New York, NY)
    …and an understanding of the market standard risk management practices . Broker - dealer supervisory frameworks, retail investment platforms, and UHNW product risks ... of fifteen (15) years of financial services experience required . Experience in broker - dealer or wealth management firms preferred, especially with exposure to… more
    Raymond James Financial, Inc. (10/30/25)
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  • VP, US Finance - Wholesale Corporate

    TD Bank (New York, NY)
    …preparation and consolidation of the monthly close, review entries and reconciliations for broker - dealer and non- broker - dealer entities and ensure ... highly complex financial management/ specialized accounting / taxation / audit / regulatory reporting and operational issues + Acts as the primary interface with… more
    TD Bank (11/15/25)
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  • QA Engineer, Analyst

    MUFG (New York, NY)
    …Summary: We seek a skilled QA Engineer Analyst to join our team at a leading broker dealer in the capital markets. This role focuses on ensuring the quality and ... with cloud platforms (AWS, Azure, GCP). Preferred Qualifications: - Experience in broker dealer or financial services environment. - Certifications in QA… more
    MUFG (11/19/25)
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  • Compliance Risk Assessment Lead

    TD Bank (New York, NY)
    …with regulatory Issue Management, Compliance Monitoring & Testing and governance of Compliance documentation preferred + Strong knowledge of laws, rules, ... risks and taxonomies related to consumer and commercial banking, securities ( broker - dealer ), and wealth management businesses + Excellent written, verbal… more
    TD Bank (11/06/25)
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  • Financial Crime Risk Oversight Specialist

    TD Bank (New York, NY)
    …including assisting with adherence to enterprise-wide initiatives including global policies and governance . + Assist with regulatory and audit requests. + ... knowledge and experience in AML compliance, preferably including investment banking / broker - dealer experience at a large financial institution. + Excellent… more
    TD Bank (11/05/25)
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  • Chief Compliance Officer, Retirement & Private…

    HUB International (New York, NY)
    …& Private Wealth (RPW) SEC registered investment advisor and limited purpose FINRA Broker - Dealer : The Chief Compliance Officer, will be a highly visible, senior ... HUB is one of the largest global insurance and employee benefits broker , providing a boundaryless array of business insurance, employee benefits, risk services,… more
    HUB International (08/21/25)
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  • Senior Capital Markets Middle Office Specialist

    Wells Fargo (New York, NY)
    …a focus on margin and Prime Brokerage accounts + Strong knowledge of Broker - Dealer Operations functions with a preference for margin regulations and frameworks, ... you will:** + Monitor client accounts for compliance with Regulatory (Reg. T, FINRA 4210, Reg U) and House...sound risk decisions. There is emphasis on proactive monitoring, governance , risk identification and escalation, as well as making… more
    Wells Fargo (11/19/25)
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  • VP Compliance Manager, Trade Surveillance Quality…

    TD Bank (New York, NY)
    …equivalent experience at a regulatory body (eg, leading a bank or broker / dealer exam team). + Surveillance experience at Financial Market Regulator (eg, SEC, ... that alert review processes align with firm requirements and global regulatory expectations. **Department Overview:** Our team of trusted Surveillance Compliance… more
    TD Bank (10/12/25)
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  • Trade Operations Senior Support Specialist

    TD Bank (Ramsey, NJ)
    …experience + Series 7 and 24 **OCC:** + This position is with a FINRA member, broker and/or dealer and is subject to the requirements of FINRA and Securities ... and operational oversight of the trading desk, ensuring adherence to regulatory requirements, risk management practices, and timely execution of trading activities.… more
    TD Bank (11/19/25)
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