Business Aligned Compliance Associate Director

DTCCJersey City, NJ
Hybrid

About The Position

Are you ready to make an impact at DTCC? Do you want to work on innovative projects, collaborate with a dynamic and supportive team, and receive investment in your professional development? At DTCC, we are at the forefront of innovation in the financial markets. We're committed to helping our employees grow and succeed. We believe that you have the skills and drive to make a real impact. We foster a thriving internal community and are committed to creating a workplace that looks like the world that we serve. As a member of the Risk and Treasury Aligned Compliance Team (“Team”) within DTCC’s Compliance Group, the Associate Director is responsible for assisting the Team in evaluating, monitoring and enhancing compliance with applicable regulatory requirements by DTCC's Financial Risk Management (“FRM”) and Treasury functions. FRM manages certain financial risks related to DTCC’s clearing and settlement services (e.g., market, credit, liquidity and default risk), while Treasury manages capital, custody and investment risks. The main responsibilities of the Team are: Provide expert guidance to FRM and Treasury on compliance with regulatory requirements by identifying potential gaps and strengthening key aspects of the control environment, including policies, procedures, processes, and controls. Conduct certain enterprise-wide activities managed by the Compliance Group for FRM and Treasury. These activities include maintaining a centralized inventory of regulatory requirements, mapping regulatory requirements to controls, enhancing policies & procedures, conducting regulatory change and compliance risk assessments, and testing of controls and regulatory reporting obligations. Prepare status update reports for the Board, committees and senior management.

Requirements

  • Minimum of 8 years of related experience
  • Bachelor's degree preferred or equivalent experience
  • Knowledge of financial services, particularly in the securities markets and applicable laws and regulations
  • Understanding of the Financial Risk Management discipline and experience with review of control environment related to management of credit, market, liquidity and default risks
  • Excellent listening and communication (oral and written) skills to effectively interface with all levels of leadership
  • Ability to work in a team dynamic with team members in different locations
  • Knowledge of basic compliance principles and standards, including industry best practices

Nice To Haves

  • Experience working at or with financial services regulators (e.g. SEC, FRB, NYSDFS, CFTC, ESMA, etc.) is highly desirable

Responsibilities

  • Conduct regulatory change assessments to evaluate the impact of new or changing regulations and readiness from a compliance perspective
  • Evaluate, confirm and monitor implementation of changes proposed by a rule filing or advance notice
  • Evaluate policies and procedures to identify any compliance gaps or inconsistencies and work with FRM and/or Treasury functions to address such deficiencies
  • Perform compliance risk assessments for FRM and/or Treasury
  • Facilitate Compliance Group’s mapping of regulatory requirements and clearing agency rules to policies, procedures, controls, and other documentation
  • Facilitate Compliance Group’s testing to evaluate the design and effectiveness of controls owned by FRM &/or Treasury functions
  • Support FRM &/or Treasury functions in maintaining an inventory of regulatory reporting obligations and related reporting information
  • Take an active role in your career development

Benefits

  • Competitive compensation, including base pay and annual incentive
  • Comprehensive health and life insurance and well-being benefits, based on location
  • Pension / Retirement benefits
  • Paid Time Off and Personal/Family Care, and other leaves of absence when needed to support your physical, financial, and emotional well-being.
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