Compliance Senior Manager

WiseAustin, TX

About The Position

At Wise, we believe the teams closest to risk should own the controls and monitoring that keep our products compliant. Strong second-line Compliance oversight helps make that monitoring sharper, more consistent, and more effective. We are looking for a Senior Regulatory Compliance Manager to join the North America Compliance team and lead 2LOD oversight of regulatory compliance monitoring. This role will focus on building a scalable, data-led, AI-enabled monitoring oversight framework in partnership with 1LOD teams, Product Compliance, Risk, Operations, and the Analytics team. This is not a traditional compliance testing role. The role is focused on monitoring oversight: defining what good monitoring looks like, challenging whether coverage is sufficient, helping teams convert regulatory obligations into recurring indicators and workflows, and ensuring exceptions are escalated and remediated appropriately.

Requirements

  • 7+ years of experience in compliance monitoring, compliance risk management, control oversight, audit analytics, operational risk, regulatory compliance, financial crimes monitoring, or related financial services roles.
  • Strong understanding of US consumer protection and financial services regulations, including Reg E, UDAAP, E-Sign, BSA/AML/FinCrime, state Money Transmission/MSB requirements, and related regulatory expectations.
  • Proven ability to build or enhance monitoring programs, oversight frameworks, KRI routines, dashboards, exception management processes, control monitoring, or compliance analytics.
  • Strong analytics fluency. You do not need to be a data scientist, but you should be able to frame monitoring questions, interpret data, challenge data quality, partner with analytics teams, and turn trends into regulatory judgment.
  • Experience partnering with technology, analytics, product, operations, or engineering teams to turn risk questions into repeatable workflows.
  • Comfort with AI, automation, or workflow tooling, including appropriate governance, documentation, QA, and human review.
  • Strong executive communication skills, with the ability to turn complex regulatory and data-driven insights into clear, practical narratives.
  • Legally authorized to work in the US

Nice To Haves

  • J.D., CRCM, CAMS, MBA, analytics certification, AI certification, or similar credential.
  • Experience with SQL, Snowflake, Lightdash, Looker, Tableau, Power BI, Jira, Confluence, GitHub, AuditBoard/Optro, Archer, or similar tools.
  • Experience designing AI-assisted monitoring, alerting, surveillance, issue detection, compliance review, or exception management workflows.
  • Prior experience at a payments company, neobank, MSB, or high-growth fintech.
  • Financial crimes monitoring experience, especially involving analytics, typologies, alerting, governance, or cross-regional monitoring frameworks.
  • Familiarity with formal Compliance Management System frameworks.
  • Canadian regulatory knowledge: FINTRAC requirements, provincial MSB licensing
  • Experience managing or mentoring junior compliance staff
  • Former regulator, audit, regulatory remediation, or supervisory exam experience.

Responsibilities

  • Lead the development of Wise’s North America regulatory monitoring oversight framework, aligned with global methodology, CMS expectations, and regulatory priorities.
  • Define standards for effective 1LOD-owned monitoring, including coverage expectations, data requirements, thresholds, escalation triggers, documentation, evidence retention, and issue handoff.
  • Partner closely with Analytics and 1LOD teams to design recurring monitoring workflows, dashboards, alerts, exception reports, AI-assisted reviews, and analytics routines.
  • Oversee monitoring coverage across key NorthAm regulatory obligations, including Regulation E, UDAAP, E-SIGN, BSA/AML/FinCrime, state Money Transmission License requirements, MSB obligations, Reg W, complaints, disclosures, customer communications, operational processes, and remediation commitments.
  • Challenge whether 1LOD monitoring is appropriately designed, consistently executed, sufficiently documented, and responsive to emerging risks.
  • Where needed, build or co-build interim monitoring workflows with Analytics, including clear documentation, ownership mapping, training, maintenance expectations, and transition plans for 1LOD handoff.
  • Translate regulatory obligations, examination findings, audit/testing results, incidents, complaints, product changes, and remediation commitments into practical monitoring indicators and oversight routines.
  • Review monitoring outputs to identify themes, exceptions, control weaknesses, customer harm patterns, production issues, and emerging regulatory risks.
  • Ensure monitoring exceptions are investigated, escalated, tracked, and remediated through appropriate governance channels.
  • Produce clear reporting for Compliance leadership, committees, board-level materials, and regulatory examination readiness.
  • Help define how Wise uses AI and automation responsibly within compliance monitoring, including appropriate governance, QA, human review, and documentation.

Benefits

  • Some travel to NYC, and potentially London for global compliance collaboration, may be required.
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