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Senior Compliance Officer

Job in New York City, Richmond County, New York, USA
Listing for: District Partners LLC
Full Time position
Listed on 2026-01-07
Job specializations:
  • Finance & Banking
    Regulatory Compliance Specialist, Risk Manager/Analyst
  • Management
    Regulatory Compliance Specialist, Risk Manager/Analyst
Job Description & How to Apply Below
District Partners has been engaged by a well-established U.S. broker-dealer headquartered in New York City to identify a Senior Compliance Officer to support and strengthen the firm's regulatory governance and line-of-business compliance coverage. This is a senior, hands-on role focused on broker-dealer compliance oversight, with particular emphasis on Operations, Treasury, and Finance interfaces. The individual in this role will be responsible for day-to-day regulatory governance, exam readiness, supervisory framework maintenance, and coordination across Compliance, Finance, Operations, and key control partners.

The engagement is structured as a 12-month full-time role with full benefits, with a strong likelihood of renewal based on business need and performance.

The Senior Compliance Officer will own the firm's regulatory calendar, oversee core broker-dealer compliance obligations, and serve as a key partner to business and control functions to ensure the organization remains exam-ready at all times. This role requires deep familiarity with SEC and FINRA requirements, strong regulatory judgment, and the ability to translate rules into practical, auditable controls.

What You'll Do:

Regulatory Governance & Oversight
  • Provide expert-level compliance guidance to internal stakeholders, ensuring effective management of regulatory and operational risk.
  • Review and enhance the existing regulatory governance framework to identify and remediate gaps or weaknesses.
  • Own the broker-dealer regulatory calendar, including obligations, due dates, owners, evidence requirements, and reminders.
  • Govern FINRA Gateway task queues and regulatory message intake, including exchange and clearing memberships.
Registrations, Licensing & Disclosures
  • Partner with Central Compliance on Form U4/U5 updates and registration frameworks for registered representatives, principals, and supervisors.
  • Coordinate Form BD updates and Form   branch registrations.
  • Maintain accurate records of registrations, entitlements, and supervisory designations.
Regulatory Reporting & Surveillance Interfaces
  • Perform periodic reviews and remediation coordination for CAT (including CAIS where applicable), EBS (Blue Sheets), LOPR, and short-interest reporting.
  • Maintain evidence logs and control documentation supporting regulatory submissions.
Exams, Audits & Regulatory Inquiries
  • Program-manage the annual FINRA Rule 3120 Supervisory Review, including scoping, vendor oversight, testing, findings, and CEO report preparation.
  • Coordinate the annual FINRA vendor due-diligence survey.
  • Centralize and manage regulator inquiries, including response tracking, evidence uploads, and remediation through regulator portals (e.g., FINRA Gateway/Request Manager).
  • Build and execute an exam-readiness plan in advance of the 2026 FINRA exam cycle, including mock requests, evidence binders, and issue tracking in Audit Board.
Membership Documentation Lifecycle
  • Coordinate membership due-diligence responses and annual attestations.
  • Perform second-line quality control reviews of all membership documentation prior to submission.
  • Standardize workflows, checklists, and document repositories across platforms.
Supervisory Framework, WSPs & Policy Management
  • Complete and maintain Written Supervisory Procedures (WSPs) for Treasury activities.
  • Map supervisory responsibilities and controls and publish policies with required attestations and evidence workflows.
  • Draft and maintain a Treasury Best Execution policy in partnership with Central Compliance.
Books & Records
  • Document and maintain broker-dealer books-and-records programs in accordance with SEC Rules 17a-3 and 17a-4.
  • Oversee retention and recordkeeping controls with periodic testing and documented audit trails.
Compliance Testing & Assurance
  • Partner with Compliance Testing/Assurance teams to implement the annual compliance risk assessment.
  • Help design and execute a risk-based compliance testing program, including coverage mapping, test scripts, and issue remediation standards.
Governance, Training & Ongoing Cadence
  • Co-own monthly broker-dealer governance meetings, agendas, and action tracking.
  • Contribute to the Annual Training Needs Assessment and support Firm…
Position Requirements
10+ Years work experience
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