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U.S. Banks 1st Line Business Risk; Reg W) Assistant Vice President​/Vice President

Job in New York, New York County, New York, 10261, USA
Listing for: 625 Morgan Stanley Private Bank,NA
Full Time position
Listed on 2026-09-03
Job specializations:
  • Finance & Banking
    Risk Manager/Analyst, Financial Compliance, Regulatory Compliance Specialist
Salary/Wage Range or Industry Benchmark: 110000 - 190000 USD Yearly USD 110000.00 190000.00 YEAR
Job Description & How to Apply Below
Position: U.S. Banks 1st Line Business Risk (Reg W) Assistant Vice President/Vice President
Location: New York

Morgan Stanley (“MS”) is a global financial services firm that conducts its business through three principal business segments — Institutional Securities, Wealth Management (WM), and Investment Management. Our Financial Advisors focus on delivering timely, customized solutions and services that help clients meet their financial and life goals. Our offering includes brokerage and investment advisory services, financial and wealth planning, access to credit and lending, deposits and cash management, annuities and insurance, and retirement services.

As a market leader, the talent and passion of our people is critical for our success. Together, we share a common set of values rooted in doing the right thing, putting clients first, leading with exceptional ideas, commitment to diversity and inclusion and giving back. Morgan Stanley can provide a superior foundation for building a professional career – a place to learn, achieve and grow.

Role

The Vice President position is with the Transactions with Affiliates Office in U.S. Banks 1st Line of Defense Business Risk team. The team has responsibility for the implementation of the Banks’ Regulation W compliance monitoring program. As a Vice president, you will join a team of risk professionals from diverse range of backgrounds and experience who collectively ensure that the Firms Transactions with Affiliate Policy and Framework is implemented and functions well.

The role will be based in New York.

Responsibilities
  • Primary liaison and Regulation W subject matter expert (SME) in the U.S. Banks 1st Line of Defense Business Risk Transactions with Affiliates team, which oversees compliance with affiliate transactions under Sections 23A and 23B of the Federal Reserve Act.
  • Partner closely with business units to assess transactions with affiliates and review that effective controls are in place to comply with regulatory requirements.
  • Review proposed affiliate transactions with Banks Legal and Reg W compliance as appropriate; review for adherence with statutory quantitative limits, collateral usage and market terms requirements in accordance with the Banks’ policies and procedures.
  • Assist with regular monitoring and sampling of affiliate transactions to confirm compliance with Regulation W 23B Market Terms.
  • Coordinate with technology and data teams to provide integrity and transparency to tracking and reporting of inter-affiliate transactions.
  • Analyze transactions between the Banks and its affiliates; identify issues, facilitate timely resolution and retain appropriate documentation which evidence issue disposition.
  • Work with Business Units, Financial Advisors and Private Bankers on New business Initiatives to identify potential Reg W obligations and associated controls.
  • Coordinate 1

    LOD Business Risk Management NPA / SMA responses across the Reg W, Third Party, Business Continuity and Affiliate Risk Management.
  • Support Business Units, Financial Advisors and Private Bankers with 23B Market Terms Framework compliance; review for completeness of relevant documentation, efficacy of controls, and record retention.
  • Support Business Units with developing and updating their Reg W procedures.
  • Identify process gaps or control weaknesses which may impact Reg W compliance; drive remediation efforts in collaboration with business partners, Bank Legal, Compliance and Operational Risk teams.
  • Coordinate the U.S. Banks’ Reg W Internal Audit and Second Line of Defense audit and testing activities, respectively.
  • Partner with Regulatory Relations, management, and other stakeholders to provide central coordination of Reg W examinations and other regulatory engagements and inquiries.
  • Compile data and prepare internal reporting related to Reg W affiliate transactions, including management reporting.
  • Lead Internal Audit, Regulatory and 2

    LOD remediation of identified issues, as appropriate, coordinating with stakeholders across the Banks and Firm.
  • Continually evaluate and work with stakeholders to strengthen the Banks’ Reg W Governance Framework.
  • Proficiency with Microsoft tools, experience with data analytics or reporting tools, and working knowledge of SQL is a plus.
Qualifications
  • A bachelor’s degree…
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