Compliance Advisor Jobs in New York
BNP Paribas - New York, NY, United States
We are conducting a search for an experienced Compliance Officer to cover the Equity Capital Markets (“ECM”) business for BNP Paribas...
from: linkedin.com - 17 days ago
Société Générale - , NY, United States
Reference: 24000E9H Responsibilities: Implement and/or maintain a comprehensive investment advisory compliance program for SEC Registered Investment Advisor (“RIA”) affiliates of Société Générale
from: linkedin.com - 16 days ago
S&P Global - New York, United States
About the Role: Grade Level (for internal use): 12 Director, Global Sanctions & Financial Crimes Compliance Program Advisor About the Role: Responsibilities and Impact: The Impact: The Director Competitive
from: efinancialcareers.com - 12 days ago
Morgan Stanley - , NY, United States
Draft/revise and execute on policies Providing financial crimes subject matter expertise on changes in regulatory requirements and serving as an effective advisor to the business, legal, risk
from: linkedin.com - 9 days ago
BNY Mellon - New York, NY, United States
for the role of VP, ETF ADVISOR COMPLIANCE to join our Investment Management Compliance team. This role is located in New York City, NY - HYBRID. In this role, you’ll make an impact in the following ways
from: linkedin.com (+1 source) - 24 days ago
Deutsche Bank - New York, United States
required. 5 to 7 years of compliance experience with experience as a Compliance Officer/Advisor for a broker dealer and/or registered investment advisor. Fluent in all FINRA and SEC issues and concerns salary range for this position in New York City/California is $116,250-$200,000
from: efinancialcareers.com - Yesterday
The PeterSan Group and PeterSan Legal Staffing - New York, NY, United States
advisors. This individual will be responsible for ensuring compliance with all communications and advertising rules, working with the Distribution and Marketing teams and generally assisting the Legal
from: linkedin.com - 10 days ago
AlTi Tiedemann Global - , NY, United States
and review of the annual and quarterly income tax provision calculations and relevant SEC financial statement disclosures Manage and review AlTi’s federal, state, and local tax compliance, including engaging
from: linkedin.com - 15 days ago
JPMorgan Chase Bank, N.A. - New York, NY
as a Supervisory, Risk or Compliance professional preferred * Experience working in an environment alongside Advisors preferred * Ability to understand new investment products and firm wide policies and procedures
from: JPMorgan Chase Bank, N.A. - 2 days ago
3 Bridge Networks - , NY, United States
such as capital calls, distributions, and investor reporting. Assist in the preparation of quarterly and annual financial reports for investors and regulatory compliance. Coordinate with external auditors and tax
from: linkedin.com - 15 days ago
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