VP, Business Compliance Officer - Wealth Management

  • Page Executive
  • New York, Lincolnshire
  • Apr 12, 2026
Full time Banking

Job Description

  • Lead wealth compliance initiatives across a regulated environment
  • Partner with senior leaders on regulatory oversight and risk programs
About Our Client

Large tier-one bank located in Midtown.

Job Description

In this position, you will make a strategic impact by:

  • Enhancing and managing the compliance program supporting Wealth businesses, ensuring alignment with regulatory standards across OCC, consumer banking regulations, SEC, and FINRA.
  • Building strong partnerships with business leaders to address regulatory findings, lead audit/exam discussions, and present to senior management.
  • Advising on compliance considerations related to new products, services, and initiatives, including designing appropriate controls and monitoring mechanisms.
  • Developing and executing monitoring, testing, and risk assessment programs within a dynamic and evolving business model.
  • Managing key elements of the compliance framework including policies, procedures, issue management, and ongoing reporting.
  • Serving as a subject matter expert within governance forums and advising stakeholders across Wealth Management.
  • Working with technology and product teams to integrate compliance expectations into product development and operational workflows.
  • Supporting interactions with regulators by preparing materials, coordinating responses, and contributing to strategy for regulatory engagements.
  • Influencing cross functional teams and stakeholders through strong communication, leadership presence, and analytical insight.
  • Preparing executive level reporting, dashboards, and risk summaries for leadership and board committees.
The Successful Applicant What We're Looking For
  • 5+ years of experience in wealth management or consumer banking compliance advisory roles.
  • 3+ years of experience in consumer compliance or consumer banking, including regulatory frameworks and requirements.
  • Experience with trust and fiduciary rules is a plus.
  • Deep understanding of OCC, consumer banking regulations, FINRA, and/or SEC requirements.
  • Bachelor's degree required; advanced degrees (JD, MBA) or compliance certifications strongly preferred.
  • Exceptional written and verbal communication abilities, strong analytical skills, and a problem solving mindset.
  • Demonstrated ability to collaborate across lines of business and influence senior stakeholders.
What's on Offer
  • Competitive salary ranging from $70,000 to $140,000 USD.
  • Comprehensive benefits package tailored to employee needs.
  • Opportunities for professional growth within the financial services industry.
  • Collaborative work environment that fosters innovation and regulatory excellence.