StaffAttract
  • Login
  • Create Account
  • Products
    • Private Ad Placement
    • Reports Management
    • Publisher Monetization
    • Search Jobs
  • About Us
  • Contact Us
  • Unsubscribe

Login

Forgot Password?

Create Account

Job title, industry, keywords, etc.
City, State or Postcode

SVP, IA Compliance

Osaic Wealth, Inc. - Scottsdale, AZ

Apply Now

Job Description

Compliance Leadership Opportunity in Financial ServicesSVP, IA CompliancePreferred Location(s):2300 Windy Ridge Parkway, Atlanta, GA 30339877 Executive Center Drive West, St. Petersburg, FL 337027755 Third Street North, Oakdale, MN 5512812325 Port Grace Boulevard, La Vista, NE 6812818700 N Hayden Rd, Suite 255, Scottsdale, AZ 85255Schedule: Osaic has returned to the office on a hybrid schedule requiring a minimum of 4 days weekly in the office. Applicants must be willing to work this schedule.Role Type: Full-TimeSalary: $200,000 - $250,000 per year + annual bonusActual compensation offered will be determined individually, based on a number of job-related factors, including location, skills, experience, and education.Our competitive salaries are just one component of Osaic’s total compensation package. Additional benefits include health, vision, dental insurance, 401k, vacation and sick time, volunteer days and much more.To view more details of what you can look forward to, visit our careers page: are looking for an SVP of IA Compliance to be responsible for all aspects of the investment adviser compliance program across Osaic’s independent and hybrid wealth management channels. Responsibilities include compliance policy design and implementation, compliance training, surveillance, regulatory examinations, management of strategic projects, and advising Osaic personnel regarding applicable rules, regulations and compliance policies. The SVP will manage a successful and experienced Compliance team and will report to the Chief Compliance Officer of Osaic.The ideal candidate will have (i) a successful track record at a wealth management organization, (2) demonstrated an ability to successfully lead a team of sophisticated and experienced professionals, (3) significant experience interacting with regulators and the candidate’s organization’s leadership, (4) broad experience with the regulation of investment advisors, and (5) a proven ability to lead, design and implement core areas of a best-in-class compliance program.A successful candidate for this position will (i) have a solid ethical core, and set the bar for conducting himself/herself to the highest ethical standards; (ii) be a self-motivated, high performing and persistent individual who will be able to manage pressure; (iii) apply a creative and commercial mind in her or his approach to resolving compliance and risk issues; and. (iv) relate and work well with others in a changing and dynamic environment.ResponsibilitiesResponsible for maintaining and enhancing 206(4)-7 compliance program, investment advisory policies and procedures, and the delivery of required regulatory filings (Form ADV, CRS, 13F, 13G).Manage compliance teams including, but not limited to, advisory policy and procedure management, surveillance and testing, compliance program administration, and product and platform compliance.Advise, collaborate and educate with executive and management teams on applicable law and regulations in relation to strategic business initiatives.Drive continuous improvement to modernize the compliance experience for financial professionals and employees by implementation of more efficient processes, policies and procedures enhancements, automation of compliance functions, and leading change management initiatives.Keep informed of industry changes, trends and best practices, and assess the potential impact on policies, procedures and systems to ensure that they are designed to comply with applicable laws and regulations.Evaluate and advise executive and management teams of potential new regulatory and business risks.Manage implementation of new investment advisory regulations.Advise and educate affiliated financial professionals and employees on investment advisory regulations and policy.Provide support and assist with the management of regulatory and audit examination.Work with key constituencies to encourage, promote, and enhance a culture that encourages ethical conduct and commitment to compliance.Participate and provide regulatory and risk thought leadership on various organizational committees.Education RequirementsMinimum of a bachelor’s degree is required, advanced degree or certifications a plus.Basic RequirementsStrong leadership skills with ability to lead through change and develop high performing teams.Extensive Investment Adviser compliance experience.Thorough knowledge of the retail investment advisory business as well as investment securities products.Demonstrated strong verbal and written communication and interpersonal skills.Ability to conform to shifting priorities, demands and timelines through analytical and problem-solving capabilities.Proven track-record in decision making, process improvement and compliance technology development.Strong leadership skills with a positive track record of developing talent and building a strong, unified and collaborative culture.Team, collaborative, and solutions oriented with an ability to actively engage within the anized and able to prioritize workload efficiently.Proactive, responsive and efficient.Resourceful and capable of working autonomously.Series 65/66 license required, FINRA Series 7 and 24 registrations preferred.Sophisticated understanding of SEC rules and regulations and understanding of FINRA rules.Advanced understanding of ERISA as it applies to retail advisory business a plus.Equal Opportunity EmployerOsaic is an equal opportunity employer. We celebrate diversity in our workplace and we hire the most qualified candidates without regard for age, ethnicity, gender, gender identity or expression, language differences, nationality or national origin, family or marital status, physical, mental, and developmental abilities (or the perception of a disability), genetic information, race, religion or belief, sexual orientation, skin color, social or economic class, education, work and behavioral styles, political affiliation, military service, caste, or any other characteristic protected by law.EligibilityApplicants for employment in the US must have valid work authorization that does not now and/or will not in the future require sponsorship of a visa for employment authorization in the US by Osaic.Unqualified ApplicationsOsaic does not consider applications from candidates who do not meet the minimum qualifications stated in the job posting.Recruiting AgenciesOsaic only accepts candidates from contracted recruiting firms and only for searches approved prior to submissions. Fees will not be paid for unsolicited submissions.Seniority levelSeniority levelExecutiveEmployment typeEmployment typeFull-timeJob functionJob functionLegalReferrals increase your chances of interviewing at Osaic by 2xSign in to set job alerts for “Vice President Compliance” roles.Associate Vice President of Internal Human Resources, Communities of Excellence - AZ - On SitePhoenix, AZ $160,000.00-$180,000.00 6 days agoThird Party Risk Management - Intake, Vice PresidentTempe, AZ $114,000.00-$160,000.00 3 months agoPhoenix, AZ $75,000.00-$130,000.00 6 hours agoTempe, AZ $88,000.00-$111,000.00 3 days agoSales Vice President, Highland Capital BrokeragePhoenix, AZ $75,000.00-$150,000.00 3 months agoRegional Director - Arizona (General Manager)Third-Party Risk Management, Vice PresidentThird-Party Risk Management, Vice PresidentTempe, AZ $114,000.00-$160,000.00 3 months agoAsset Director (Property Management) - Phoenix, AZHFN: Vice President, Fabrication ServicesAssociate Vice President, Operations – USPI West MarketRegional Director of Health and WellnessRisk Management - Special Credits Lead - Vice PresidentScottsdale, AZ $180,000.00-$220,000.00 1 week agoScottsdale, AZ $180,000.00-$220,000.00 3 weeks agoVice President, Identity Access and Management (Remote)Phoenix, AZ $153,000.00-$196,000.00 1 week agoHEALTHCARE COMPLIANCE OFFICER (MEDICAL FACILITIES LICENSING)HEALTHCARE COMPLIANCE OFFICER (MEDICAL FACILITIES LICENSING)U.S. Anti-Money Laundering Compliance OfficerSafety and Compliance Officer, Prime AirTolleson, AZ $62,800.00-$138,700.00 2 days agoPhoenix, AZ $82,000.00-$86,000.00 1 month agoWe’re unlocking community knowledge in a new way. Experts add insights directly into each article, started with the help of AI. #J-18808-Ljbffr

Created: 2025-10-06

➤
Footer Logo
Privacy Policy | Terms & Conditions | Contact Us | About Us
Designed, Developed and Maintained by: NextGen TechEdge Solutions Pvt. Ltd.