Let’s get started
By clicking ‘Next’, I agree to the Terms of Service
and Privacy Policy
Jobs / Job page
FINRA Licensed Chief Compliance Officer image - Rise Careers
Job details

FINRA Licensed Chief Compliance Officer

Job Summary

A company is looking for a Chief Compliance Officer who will lead the Compliance team and oversee compliance and regulatory functions.

Key Responsibilities
  • Serve as the firm's FINRA-designated CCO, ensuring adherence to SEC and FINRA regulations
  • Oversee the firm's Anti-Money Laundering program and conduct compliance reviews and risk assessments
  • Lead compliance training programs and maintain the firm's Written Supervisory Procedures
Required Qualifications
  • 10+ years of experience in broker-dealer compliance, preferably in capital raising for private funds
  • Current FINRA Series 24 (Principal) license required
  • In-depth knowledge of SEC, FINRA, and regulatory requirements for limited-purpose broker-dealers
  • Experience managing FINRA/SEC examinations and regulatory filings
  • Bachelor's degree required; JD, MBA, or equivalent experience preferred

Average salary estimate

$0 / YEARLY (est.)
min
max
$0K
$0K

If an employer mentions a salary or salary range on their job, we display it as an "Employer Estimate". If a job has no salary data, Rise displays an estimate if available.

Similar Jobs
Photo of the Rise User
Clifford Chance Hybrid Two Manhattan West, 375 9th Avenue, New York, NY, United States
Posted 10 days ago
Photo of the Rise User
Posted 4 days ago
Photo of the Rise User
Posted 4 days ago
Photo of the Rise User
Remote Jobs Remote No location specified
Posted 2 days ago
Photo of the Rise User
Posted 8 days ago
MATCH
VIEW MATCH
FUNDING
SENIORITY LEVEL REQUIREMENT
TEAM SIZE
No info
EMPLOYMENT TYPE
Full-time, remote
DATE POSTED
May 14, 2025

Subscribe to Rise newsletter

Risa star 🔮 Hi, I'm Risa! Your AI
Career Copilot
Want to see a list of jobs tailored to
you, just ask me below!