Director of Compliance, Invest

SoFi
$160,000 - $275,000

About The Position

In this role, you will participate in the development, implementation and administration of the Compliance Management Program for the SoFi Invest product group. You will provide primary compliance coverage in support of the registered investment adviser, SoFi Wealth. The main objective of this role is to serve as a trusted adviser and partner to the business units responsible for driving the growth of the broader Invest product offerings (including SoFi Wealth), while mitigating regulatory risk to the SoFi enterprise. You will participate in various committees, audits and examinations, as well as test the processes and infrastructure for the investment adviser and broker dealer that facilitate Invest activities through the administration and maintenance of the Compliance Risk Assessment and Annual Reviews. You will advise the Compliance and Legal teams on emerging compliance issues, regulatory changes, and new rules, and consult and guide the company in the establishment of controls to mitigate risks. You will engage with business partners to offer appropriate knowledge, expertise and business acumen to meet the increasing demands of a rapidly changing regulatory environment.

Requirements

  • 10-12+ years of relevant work experience in financial services, including a thorough understanding of securities markets and compliance obligations of SEC Registered Investment Advisors and FINRA registered Broker Dealers
  • Degree from an accredited university strongly preferred
  • Series 7, 24, 63 & 65 (or 66) licenses preferred
  • Excellent verbal and written communication skills; must be able to effectively articulate regulatory risks and proposed mitigation strategies
  • Ability to work in a fast-paced, changing environment
  • Ability to analyze and interpret rules, regulations, and policies
  • Superior organizational skills and attention to detail
  • Outstanding ability to develop and foster cross-functional relationships with key stakeholders
  • Desire to develop practical, creative solutions that meet business needs while remaining compliant with applicable laws and regulations

Nice To Haves

  • Series 4, 52, 53, & 79 licenses
  • Work with a robo adviser, self-directed, and/or discount brokerage platform highly desired
  • Experience with implementing AI solutions to enhance the investor experience preferred
  • Understanding of fractional share trading preferred
  • Working understanding of general banking and lending regulations is helpful
  • Experience in compliance monitoring, oversight, or assurance programs at financial institutions
  • Strong work ethic and ability to remain motivated in an independent work environment

Responsibilities

  • Day-to-day responsibility for management and ongoing evolution of the firm's investment advisory compliance programs
  • Assist in the management of the firm’s broker-dealer compliance programs
  • Advise on FINRA and SEC rule applicability to new and evolving products and services, including the integration of AI in the investor experience
  • Preparation of major compliance-related projects and filings, including but not limited to Web CRD filings, IARD filings, EDGAR filings, Form ADV, RR/IAR disclosures and all periodic reviews (4530, 3210, 206(4)-7 etc.)
  • Assisting with the development, maintenance, and documentation of WSPs, compliance manual, code of ethics, process workflows and standard operating procedures
  • Assisting with the management of key business and Independent Risk Management (IRM) initiatives from a structural, functional, and organizational change management perspective
  • Serve as liaison between the compliance team and the Business Units, corresponding regularly with upper management.

Benefits

  • Comprehensive and competitive benefits
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