Compliance Consultant - Wealth Management jobs in United States
cer-icon
Apply on Employer Site
company-logo

Voya Financial · 2 days ago

Compliance Consultant - Wealth Management

Voya Financial is dedicated to providing financial opportunities for individuals and communities. The Compliance Consultant will support compliance for Voya Financial Advisors' phone sales channel and digital consumer business, ensuring adherence to regulations and facilitating training and compliance initiatives.

Financial Services
Hiring Manager
Kristina DiMartino
linkedin

Responsibilities

Provide dedicated Compliance support to VFA’s phone sales channel and direct-to-consumer digital experience
Participate in business and compliance related projects, surface issues and report back to senior management
Interpret applicable regulations to assist in resolving conflicts and recommending solutions
Review, and suggest applicable changes for, procedures for business areas directly supported
Facilitate regular meetings with management of the supported business areas
Provide support in the coordination of the broker-dealer training program, through identification of training opportunities
Conduct in-depth analysis and research of complex compliance related issues and drive results/decisions to implement necessary resolution
Recommend new policies and procedures
Contribute and participate in the fulfillment of annual risk assessments
Provide direction and support to business partners on compliance policies and procedures
Maintain related internal compliance materials, such as standard operating procedures and job aids, for areas of responsibility
Continually identify potential key compliance risks for reporting to compliance management
Support other Compliance work as assigned

Qualification

FINRA Series 7Broker-dealer complianceInvestment advisory complianceRisk assessmentCommunication skillsProactive attitudeCuriosityProblem solvingTeam playerGrowth mindset

Required

Bachelor's Degree or equivalent experience
Five years relevant experience in broker-dealer/investment advisory compliance or related/relevant industry experience
Requires FINRA Series 7, with willingness to pursue additional licensure; a FINRA Series 24 license is a plus
Strong knowledge and understanding of annuity products, securities, and investment advisory products
Ability to make independent assessments and present thoughtful, risk-based decisions with limited support
Ability to provide leadership and vision with a focus on continually evolving the compliance framework
Proven ability to prioritize assignments and maintain and/or exceed established processing time frames with limited supervision
Demonstrated ability to work across business lines and/or departments for continuous improvement opportunities and to develop and implement risk mitigation activities
Ability to learn from mistakes and apply learnings to future situations
Proactive and practical attitude
Strong verbal and written communication skills
Curiosity about our business and industry
Agile and creative approach to problem solving
Collaborative team player
Growth mindset and ability to gain new areas of expertise

Benefits

Health, dental, vision and life insurance plans
401(k) Savings plan – with generous company matching contributions (up to 6%)
Voya Retirement Plan – employer paid cash balance retirement plan (4%)
Tuition reimbursement up to $5,250/year
Paid time off – including 20 days paid time off, nine paid company holidays and a flexible Diversity Celebration Day.
Paid volunteer time — 40 hours per calendar year

Company

Voya Financial

company-logo
Voya Financial is a financial services company that specializes in the fields of retirement, investments, and insurance.

Funding

Current Stage
Public Company
Total Funding
unknown
2018-06-01Acquired
2013-05-02IPO

Leadership Team

leader-logo
Heather Lavallee
CEO
linkedin
leader-logo
Michael Katz
Executive Vice President, Chief Financial Officer
linkedin
Company data provided by crunchbase