The Risk Management and Complex Issues Manager assists in leading risk management efforts for the RIA & Custody Services (RCS) Division by improving frameworks, implementing policies, and drafting procedures to identify and address key risks associated with Registered Investment Advisors (RIAs) and Introducing Broker-Dealers (IBDs). This role oversees a team, collaborates across departments, ensures regulatory alignment, manages exceptions and reporting, and drives process improvements to strengthen the division's overall risk posture. Under limited supervision, uses knowledge and skills, obtained through education and/or RIA and securities industry experience, training and/or certification, to assist with creating and supporting risk management frameworks for the RCS Division. Duties include leading a team of associates and improving the division policies and procedures used to identify, analyze, measure, and report on key business risks specifically related to independent Registered Investment Advisors (RIAs) and Introducing Broker-Dealers (IBDs) that custody and clear with Raymond James. Influencing the team to focus on quality and consistency, while partnering with internal departments and external customers is required to identify, research, and resolve problems.
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Job Type
Full-time
Career Level
Mid Level
Number of Employees
5,001-10,000 employees