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Are you looking for an opportunity to advance your compliance and risk management career? Are you ready to work at the largest public pension fund in the United States? Do you like working in a continuously evolving environment? As a member of the Investment Compliance Advisory Services Unit, the Senior Compliance & Risk Team Lead will support the Compliance & Risk Manager with a variety of compliance and risk activities and initiatives. The Senior Compliance & Risk Team Lead's responsibilities include providing compliance advisory services to Investments and Benefits Divisions, leading compliance onboarding of Investments and Benefits teams as required, enhancing conflicts of interest monitoring, overseeing third-party risk, leading risk assessment oversight and consultation, and managing several internal monitoring and oversight efforts.