This is a global role that serves as a subject matter expert and leads a team responsible for implementing a program to set an enterprise-wide culture of compliance at Vanguard. Implements and ensures the compliance with Vanguard's global Code of Ethical Conduct and associated compliance programs, including the Anti-Bribery Anti-Corruption and Antitrust programs. Ensures compliance with relevant conduct rules including Investment Adviser Act Rule 204A-1 and other global conduct standards including under FCA and ASIC rules. Drives awareness of and compliance with an enterprise-wide conflicts of interest program. This individual will be responsible for developing policies and procedures to ensure compliance with regulatory requirements and ethical standards. Contribute to the development and oversees the implementation of monitoring programs to ensure regulatory compliance and protect shareholder assets. Serve as a trusted advisor to the business and partners with leaders to deliver solutions to complex and elevated issues.
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Job Type
Full-time
Career Level
Manager