Compliance Analyst, Finance & Banking
Job in
Wayne, Delaware County, Pennsylvania, 19087, USA
Listed on 2026-07-17
Listing for:
Lincoln Financial Group
Part Time
position Listed on 2026-07-17
Job specializations:
-
Finance & Banking
Regulatory Compliance Specialist, Financial Compliance, Risk Manager/Analyst
Job Description & How to Apply Below
Radnor, PA (Pennsylvania);
Charlotte, NC (North Carolina);
Fort Wayne, IN (Indiana);
Greensboro, NC (North Carolina);
Hartford, CT (Connecticut);
Omaha, NE (Nebraska)
Work Arrangement:
Hybrid :
Employee will work 3 days a week in a Lincoln office
Relocation assistance: is not available for this opportunity.
Requisition #: 76287
The Role at a Glance
The Compliance Consultant is responsible for supporting Lincoln's Funds Management business team by implementing and maintaining complex compliance programs for Lincoln Variable Insurance Products Trust (LVIP), Lincoln Retail Private Market Funds (PM Funds), Lincoln Financial Investments Corporation (LFI), and Lincoln National Life's managed separate accounts. The Funds Management compliance team primarily oversees compliance with federal securities regulations relating to these companies/accounts and many supporting service providers including investment sub-advisors, principal underwriters, administrators, transfer agents, consultants, and others.
Additionally, the Compliance Consultant is responsible for effective implementation of these compliance programs, with emphasis on policies and procedure testing and service provider oversight, while supporting all duties and responsibilities of Funds Management.
What you'll be doing
* Developing and performing compliance reviews and analyses to assess compliance with policies and procedures and regulatory requirements for LVIP, PM Funds, LFI and its sub-advisers.
* Supporting quarterly and annual testing of compliance policies and procedures to ensure effective implementation, documents results, and develops action plans for remediation of findings.
* Collaborating with appropriate stakeholders to ensure action plans capture and remediate the issues found during testing.
* Supporting periodic review of all compliance policies and procedures and related updates.
* Assisting the Enterprise Anti-Money Laundering (AML) Compliance team with the administration of LVIP's, PM Funds' and LFI's AML programs, including assistance with reviewing issues and alerts escalated by service providers.
* Supporting investment guideline and restriction monitoring through a post-trade surveillance system.
* Supporting LVIP's, PM Funds', and LFI's risk management programs by performing risk assessments, recommending risk scores, and maintaining risk inventories.
* Supporting the tracking of service providers' compliance policies and procedures, communicated through quarterly compliance questionaries or otherwise, and updating policies and procedures inventories in a timely manner.
* Coordinating the review of sub-advisers' control reports, summarizing findings, and maintaining a calendar to ensure timely receipt and review.
* Supporting the administration of LVIP's, PM Funds', and LFI 's Code of Ethics programs including analyses of securities transactions and maintenance of required statements for those individuals subject to the Code.
* Preparing monthly, quarterly, and annual compliance reports to business partners and LVIP/PM Funds/LFI Board of Trustees/Directors.
* Establishing and maintaining effective relationships with business partners and service providers.
* Collaborating with colleagues on compliance projects as assigned.
* Identifying and recommending process improvements that may reduce workloads or improve quality.
* Championing and enhancing organizational initiatives by positively influencing and supporting change management and/or departmental/enterprise initiatives.
* Serving as a resource and consulting with internal/external stakeholders on a broad variety of compliance matters/issues.
* Obtaining input from management as appropriate before making internal/external statements or providing information that could impact the corporation.
* Providing effective and open communication with internal/external stakeholders to ensure transparency and consistency of compliance actions.
What we're looking for
* 4 Year/Bachelor's degree or equivalent work experience (4 years of experience in lieu of Bachelor's) (Minimum Required)
* 3 - 5+ Years experience in compliance that directly aligns with the specific responsibilities for this position (Required)
Final date to receive applications
Applications for this position will be accepted through September 14, 2026, subject to earlier closure due to applicant volume.
What's it like to work here?
At Lincoln Financial, we love what we do. We make meaningful contributions each and every day to empower our customers to take charge of their lives. Working alongside dedicated and talented colleagues, we build fulfilling careers and stronger communities through a company that values our unique perspectives, insights and contributions and invests in programs that empower each of us to take charge of our own future.
What's in it for you:
* Clearly defined career tracks and job levels, along with associated behaviors for each of Lincoln's core values and leadership attributes
* Leadership development and…
Position Requirements
5+ Years
work experience
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