Morgan Stanley Services Group Inc. seeks a Director, Compliance in Baltimore, Maryland to provide compliance coverage to the broker dealers on a range of processes, key initiatives, and regulatory matters relating to carrying out business. Provide advisory coverage regarding laws, regulations, regulatory guidance, and internal policies and procedures with respect to registration requirements; individual, branch, and corporate licensing; disclosure reporting on Form U4, U5, 8-R, and 8-T; OBI activity, training, regulatory filings, and regulatory inquiries; and regulatory developments. Support all aspects of the registration and licensing process to ensure that the regulatory requirements for the Firm and its registered employees are compliant. Maintain registration records and procedures. Assist with the review and interpretation of disclosure records for current and prospective employees. Ensure licensing requirements for all registered employees have been satisfied. Notify the business of new regulatory developments and rules; interpret new and existing rules; implement adequate processes to ensure compliance. Coordinate escalations from the department’s offshore team and act as a liaison. Telecommuting permitted up to two (2) days per week.
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Job Type
Full-time
Career Level
Director