Join a dynamic and highly collaborative compliance team that plays a critical role in safeguarding the integrity of Vanguard’s pooled investment vehicles, including those focused on alternative assets. In this influential role, you will lead the development, implementation, and ongoing refinement of compliance programs that ensure our business operates with the highest ethical and regulatory standards. As a trusted advisor to senior leaders and cross-functional partners, you will conduct complex compliance inspections, guide strategic decision-making, and provide oversight of regulated activities across the organization. Your deep industry knowledge, investigative expertise, and proactive mindset will help shape robust controls, strengthen operational resilience, and drive a culture of compliance excellence. You will also represent Vanguard in regulatory engagements, navigate emerging rules and industry developments, and provide forward-looking insights that support new product launches and innovative investment strategies. This is a high-impact role for a seasoned compliance professional who thrives in a fast-paced environment, enjoys solving complex challenges, and is committed to upholding trust, transparency, and accountability.
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Job Type
Full-time
Career Level
Director
Number of Employees
5,001-10,000 employees