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Sr. Compliance Officer - Compliance Oversight Program; Associate - TD Securities
Job in
New York City, Richmond County, New York, USA
Listed on 2026-01-06
Listing for:
TD Bank
Full Time
position Listed on 2026-01-06
Job specializations:
-
Finance & Banking
Regulatory Compliance Specialist
Job Description & How to Apply Below
Work Location:
New York, New York, United States of America
Hours:
40
Line of Business:
Compliance
Pay Detail:
$110,000 - $135,000 USD
TD is committed to providing fair and equitable compensation opportunities to all colleagues. Growth opportunities and skill development are defining features of the colleague experience compensation policies and practices have been designed to allow colleagues to progress through the salary range over time as they progress in their role. The base pay actually offered may vary based upon the candidate's skills and experience, job-related knowledge, geographic location, and other specific business and organizational needs.
As a candidate, you are encouraged to ask compensation related questions and have an open dialogue with your recruiter who can provide you more specific details for this role.
Job Description:
This Senior Compliance Officer is a key member of the TDS US Compliance Monitoring & Testing (M&T) Team, responsible for working on developing, implementing and coordinating the Compliance Oversight program over first line Risk Owner (RO) activities contributing to the overall Compliance coverage plan. The M&T Team sits within Core Compliance and covers the TDS US and global businesses, working with regional teams across the globe.
This Compliance Officer will also support other aspects of the Core Compliance program as needed.
Compliance Oversight Program
Depth & Scope:
* Assist with developing, implementing, and coordinating the Compliance Oversight program, including evaluating program design elements, analyzing Risk Owner testing and monitoring routines contributing to Compliance coverage plans, and enhancing and implementing key program elements.
* Collaborate with colleagues globally to evaluate and coordinate with our Risk Owners to assist and show coverage alongside the Compliance testing and monitoring plan coverage of key risks and business units for applicable Laws, Rules and Regulations.
* Evaluate the viability of RO's test and monitoring routines against firmwide standards, procedures and best practices, documenting analysis of test and monitoring coverage, execution methodology, sampling adherence and record creation.
* Monitor and communicate program effectiveness to stakeholders and senior management to ensure program viability and coverage integrity.
* Communicate deficiencies to key stakeholders and exercise credible challenge.
* Maintain and update procedures, templates and tools as required.
* Assist Compliance testing with test execution that contributes to the overall Compliance Coverage plan.
* Support issue management and support a culture of compliance across the enterprise.
* Participate in and contribute towards working groups and collaborative efforts.
* Participate in special projects as they arise to enhance the overall Core Compliance functions.
Education & Experience:
* BA/BS, or a similar degree, required. JD desirable but not required
* 5 or more years of experience with a registered US broker dealer, swap dealer, Global Systematically Important Bank (GSIB), or associated regulator.
* Knowledge of global security and derivative products, markets and systems at financial institutions including operational, trading, and deal management practices and activities.
* Knowledge of financial product laws, rules and regulatory landscape, and a willingness to learn new regulatory areas impacting products, behaviors and market participants.
* Knowledge of testing or audit concepts and principles, as well as control analysis and evaluation.
* Excellent interpersonal, organizational, leadership and communication (oral and written) skills.
* Client service skills - experience demonstrating sound judgment and close partnership with senior managers and other stakeholders globally, as well as relationship and network building that fosters advancement of collaborative working relationships.
* Strong analytical skills with attention to detail, data evaluation and the ability to comprehend complex compliance related markets and business issues.
* Self-starter with ability and penchant for learning new business areas and developing understanding of financial institution's products and regulatory requirements and obligations.
* Demonstrative project management skills and ability to manage multiple work streams simultaneously while engaging with different partners and groups.
* Ability to thrive in a fast-paced, deadline-driven environment, including by demonstrating excellent time management and planning skills.
* Proficient in Excel, Word, PowerPoint and SharePoint.
General
Job Description:
The Senior Compliance Officer provides advice, guidance and support to business units in adhering to regulatory/compliance requirements and assists in implementing compliance initiatives to help manage regulatory risk.
Depth & Scope:
* Works independently as the senior officer and may coach and educate others
* Individual contributor role providing specialized expertise or may lead a small team of…
Position Requirements
10+ Years
work experience
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