Manager, Compliance

BettermentNew York, NY
8d$130,000 - $150,000Onsite

About The Position

You are eager to join a dynamic team to help manage the compliance function at one of the most innovative registered investment advisers and broker-dealers. You’re thorough, always ask questions, and are detail oriented. You thrive in a fast paced environment, are able to prioritize, and have an eye towards continuous improvement. You have significant experience with SEC and FINRA marketing rules and have expertise in marketing review. You have strong management skills and are ready to manage a team of two. You think outside the box and find working across the business to find solutions fun! You are ready to roll up your sleeves and get to work in an exciting work environment! This role is based out of our NYC office. Below we've reflected the base salary range we would offer for this position. Actual salaries may vary depending on factors including but not limited to location, experience, and performance. The range listed is just one component of Betterment’s total compensation package for employees. New York City: $130,000 - $150,000 We offer a competitive equity package, health, dental and vision benefits, and a 401(k) offering with employer match as well as flexible PTO policy. This job is eligible for variable compensation in the form of a discretionary company incentive bonus.

Requirements

  • Expertise in SEC Rule 206(4)-1 and and FINRA Rule 2210, including rules related to testimonials/endorsements and performance marketing.
  • Ability to organize and prioritize workflow and assignments in a deadline-oriented environment
  • Ability to multi-task and work within tight deadlines
  • Management experience
  • A meticulous attention to detail
  • Desire to work in a fast paced and changing environment
  • Excellent communication and organizational skills
  • Ability to work well across various business units
  • Strong intellectual curiosity
  • Series 24 required (or must obtain)

Responsibilities

  • Manage and develop two (2) direct reports, conducting daily marketing review and other program tasks
  • Manage and oversee the daily review of marketing materials and social media related to investment advisory and broker-dealer products to ensure adherence to SEC Rule 206(4)-1, FINRA 2210, Reg DD and other applicable regulations
  • Partner and collaborate with the marketing team, including advising on initiatives to help achieve business goals
  • Identify marketing program enhancements
  • Review marketing-related vendors including promoters and influencers as part of our third party risk management program
  • Execute the Compliance program for his or her area of responsibility, including promulgating policies and procedures, conducting monitoring, testing, and assessments, and providing training
  • And, so much more!

Benefits

  • health, dental and vision benefits
  • 401(k) offering with employer match
  • flexible PTO policy
  • competitive equity package
  • medical, dental, and vision insurance
  • life and AD&D insurance
  • STD and LTD benefits, including infertility support and World Professional Association for Transgender Health approved benefits
  • generous parental leave
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