Vice President, Compliance – Wealth Custody and Clearing jobs in United States
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State Street · 1 day ago

Vice President, Compliance – Wealth Custody and Clearing

State Street is a global leader in financial services, and they are seeking a Vice President of Compliance to lead the compliance function within Wealth Custody and Clearing. The role involves ensuring regulatory adherence, managing compliance risks, and advising senior management on compliance matters while overseeing a robust compliance program.

BankingFinanceFinancial Services

Responsibilities

Develop, implement, and maintain a robust compliance program for Wealth Custody and Clearing, aligned with regulatory expectations (SEC, FINRA, CFTC, etc.) and State Street’s internal standards
Monitor changes in laws, regulations, and industry practices; assess impact and ensure timely adaptation of compliance policies and procedures
Lead compliance risk assessments, gap analyses, and control testing to identify areas of exposure and recommend remediation strategies
Oversee regulatory reporting, audits, and examinations; coordinate responses and ensure timely resolution of findings
Advise senior management and business partners on compliance matters, providing guidance on new products, services, and strategic initiatives
Collaborate with Risk, Legal, Operations, and Technology teams to ensure integrated risk management and compliance oversight
Design and deliver compliance training and awareness programs for staff and stakeholders
Manage compliance investigations, incident reviews, and escalation processes
Prepare and present compliance metrics, dashboards, and reports to executive leadership and relevant committees
Represent the business in regulatory engagements, industry forums, and external audits

Qualification

Compliance program managementRegulatory knowledgeRisk assessmentRegulatory reportingCompliance technologyData analyticsProject managementStakeholder managementLeadershipCommunicationProblem-solving

Required

Bachelor's degree required
10+ years of experience in compliance, regulatory risk, or related functions within financial services, preferably in custody, clearing, or wealth management
Deep knowledge of relevant regulations (SEC, FINRA, CFTC, AML, OFAC, etc.) and industry best practices
Proven track record in designing and managing compliance programs, regulatory reporting, and audit management
Strong analytical, problem-solving, and project management skills
Excellent communication, leadership, and stakeholder management abilities
Experience with compliance technology, data analytics, and process improvement initiatives

Preferred

advanced degree (JD, MBA, or related)
FINRA, Series 7, 63, 24, 55

Benefits

Retirement savings plan (401K) with company match
Insurance coverage including basic life, medical, dental, vision, long-term disability, and other optional additional coverages
Paid-time off including vacation, sick leave, short term disability, and family care responsibilities
Access to our Employee Assistance Program
Incentive compensation including eligibility for annual performance-based awards (excluding certain sales roles subject to sales incentive plans)
Eligibility for certain tax advantaged savings plans
Inclusive development opportunities
Flexible work-life support
Paid volunteer days
Vibrant employee networks that keep you connected to what matters most

Company

State Street

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State Street offers a range of financial services, including investment management, research and trading, as well as asset management.

Funding

Current Stage
Public Company
Total Funding
$12.05B
2025-10-23Post Ipo Debt· $1B
2025-04-24Post Ipo Debt· $2B
2025-02-06Post Ipo Equity· $750M

Leadership Team

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Ronald O'Hanley
Chairman and Chief Executive Officer
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Renee LaRoche-Morris
Senior Vice President, Chief of Staff to the COO; Head of CAO Services
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Company data provided by crunchbase