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About this role:
Wells Fargo is seeking a Senior Lead Compliance Officer to join the CIB Fixed Income Business Aligned Compliance Team. This role within the Fixed Income Sales & Trading Compliance Team is a Business Aligned Compliance Officer (BACO) who will serve as a team lead serving in a leadership capacity for other Compliance Officers. The BACO for this area will serve as the regulatory subject matter expert in a diverse range of regulatory requirements. The responsibilities of this role include the maintenance and execution of the Compliance responsibilities required under the Fixed Income Compliance Program. The individual in this role is responsible for establishing policy requirements, training, and monitoring activities, as well and providing advice and credible challenge to ensure ongoing compliance. Fixed Income Compliance covers the following Lines of Business within the Markets Division: Credit (Corporate Bonds, Loan and Distressed, Credit Derivatives), Rates (Primary Dealer: Treasury, Agency and Repurchase Agreements), Structured Products Group (Structured Products, Cross Asset Sales, Loan Total Return Swaps and Repos), Municipal Products (Municipal Bonds Sales and Trading, Public Finance and Municipal Derivatives), and Strategic Relationship Management. This role will provide regulatory compliance advice to the business and support day-to-day compliance inquiries and regulatory initiatives related to the Fixed Income Sales & Trading compliance program. Learn more about the career areas and lines of business at wellsfargojobs.com.
In this role, you will:
Provide oversight and governance of a business group or manage companywide compliance programs
Support the day-to-day Fixed Income Sales & Trading compliance program and address inquiries related to regulatory requirements with a particular focus on Credit Sales & Trading.
Accountability for executing on compliance initiatives impacting the Fixed Income Sales & Trading Compliance Team
Establish, implement and maintain risk standards and programs to drive compliance with federal, state, agency, legal and regulatory and Corporate Policy requirements
Oversee the Front Line's execution and challenges appropriately on compliance related decisions
Develop, oversee, and provide independent credible challenge to standards with subject matter expertise
Work with complex business units, rules and regulations on moderate to high risk compliance matters
Monitor and independently challenge the reporting, escalation, and timely remediation of issues, deficiencies or regulatory matters regarding compliance risk management
Provide direction to the business on developing corrective action plans and effectively managing regulatory change
Develop, oversee, and provide expert business and regulatory compliance functional knowledge
Provide regulatory compliance risk expertise and consulting for projects and initiatives with high risk over multiple business lines
Identify and recommend opportunities for process improvement and risk control development
Consult and engage business on developing corrective action plans and effectively managing regulatory change
Prepare and provide management ready communications and reporting of compliance issues and activities
Report findings and make recommendations to management or directors and appropriate committees
Make decisions and resolve issues to meet business objectives
Interpret policies, procedures, and compliance requirements
Collaborate and consult with peers, colleagues and managers to resolve issues and achieve goals
Work with complex business units, rules and regulations on moderate to high risk compliance matters
Interface with Audit, Legal, external agencies, and regulatory bodies on risk related topics
Required Qualifications, US:
7+ years of Compliance experience, or equivalent demonstrated through one or a combination of the following: work experience, training, military experience, education
Desired Qualifications:
Experience with Institutional Fixed Income Compliance, including Credit Sales & Trading, Loan and Distressed, Credit Derivatives, Primary Dealer activities (Treasuries, Agencies and Repo,) and Structured Products
The ability to understand and communicate regulatory requirements
The ability to handle and prioritize multiple initiatives and inquires
Strong written and verbal communication of complex issues
Critical thinking and ability to develop and execute action plans
FINRA Series 7 or 24, or willingness to obtain within twelve months of hire date
Locations:
500 W 33rd St, New York, NY
550 S Tryon Street, Charlotte NC
This position offers a hybrid work schedule
Required location(s) listed above. Relocation assistance is not available for this position.
This position is not eligible for Visa sponsorship
This position is subject to FINRA Background Screening Requirements, including successful completion and clearing of a background check. Internal transfers are subject to compliance with 17 CFR 240.17f-2 of the Securities Exchange Act of 1934 and FINRA Bylaws, Article III, Section 3, which states that Associated Persons should not be subject to statutory disqualification. Successful candidates must also meet ongoing regulatory requirements including additional screening and are required to report certain incidents
Specific compliance policies may apply regarding outside activities and/or personalinvesting; affectedemployees will be expected to provide information to the Wells Fargo Personal Account Dealing Team and abide by applicable policy requirements if hired. Information will be shared about expectations during the recruitment process.
Pay Range
Wells Fargo provides eligible employees with a comprehensive set of benefits, many of which are listed below. Visit for an overview of the following benefit plans and programs offered to employees.
Wells Fargo Recruitment and Hiring Requirements:
b. Wells Fargo requires you to directly represent your own experiences during the recruiting and hiring process.
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