Director - Compliance
Company: Threadneedle group
Location: Minneapolis
Posted on: April 19, 2025
Job Description:
We have an exciting opportunity for a Compliance Director to
join our team at Ameriprise! The Compliance Director will lead the
Ameriprise Compliance Supervisory Controls Unit and Policy Support
team.This position is part of the Ameriprise Compliance team. This
Compliance Director position will lead the Supervisory Controls
Unit (SCU) and Policy Support teams. SCU is responsible for
managing the annual review of supervisory controls, testing and
verification of corporate office compliance controls, and managing
the tracking and reporting of findings requiring action. SCU is
critical in executing FINRA and SEC rule requirements for three
broker/dealers, two RiverSource insurance companies, and one
Ameriprise investment advisor. Policy Support is responsible for
facilitating changes to the Ameriprise field compliance manual and
providing critical SME support to Ameriprise's Marketing and
Supervision groups.Key Responsibilities
- Set strategies to successfully ensure meeting Compliance
program requirements and deliverables.
- Continuously assess compliance risks and effectively
communicate risks and suggestions for improvement to colleagues,
department leaders and business unit leaders.
- Continually evaluate elements of Policy Support and SCU
programs to improve support provided to business partners.
- Oversee all aspects of testing procedures, controls, and
supervision of corporate office business unit activities. Review
and approve test plans and reports to ensure program
consistency.
- Provide training, coaching and mentoring to SCU and Policy
Support team members, compliance contacts, and business
partners.
- Work collaboratively with multiple business partners to gain a
detailed understanding of products and services and business
models. Attend meetings and hold ad hoc discussions with business
partners to understand new initiatives, offer Compliance guidance,
and determine the potential impact to SCU and Policy Support
processes.
- Cultivate and promote relationships with business partners,
develop and promote a culture of compliance, and provide guidance
to business partners relating to applicable rules and
regulations.
- Oversee the execution of team processes such as the annual
review and monthly reporting. Meet quarterly with CEO and CCO of
each broker/dealer to deliver results and discuss the regulatory
programs.
- Manage and support compliance policy changes, policy SME work,
and providing answers to Compliance mailbox questions.
- Serve as an expert on rules and regulations (mainly FINRA, SEC,
and state) applicable to SCU and Policy Support activities.
- Stay informed of regulatory and industry changes.
- Lead and/or coordinate medium to large projects and lead phases
of sophisticated projects.
- Other duties as assigned.Required Qualifications
- Bachelors degree or equivalent (4-years).
- 7-10 years of relevant experience.
- Series 7 and Series 24.
- Strong shown leadership skills, including coaching,
development, and performance management.
- Strong knowledge of the financial services industry activities
and regulations, including broker-dealer and registered investment
advisor functions, products and services.
- Excellent communication (verbal and written), presentation and
organizational skills.
- Excellent analytical and problem solving skills.
- Ability to plan and manage multiple competing priorities.
- High proficiency with Microsoft Word, Access and
Excel.Preferred Qualifications
- Prior experience leading people and processes.
- Prior experience testing broker-dealer and registered
investment advisor controls or similar internal or external audit
functions.
- Prior experience writing, interpreting, and supporting policy
creation and modification.
- Prior experience in data visualization tools, such as Microsoft
Power BI.About Our CompanyWe're a diversified financial services
leader with more than $1 trillion in assets under management and
administration as of 2022. Our team of 20,000 people in more than
20 countries, advise and manage assets and income of more than 2
million individual, small business and institutional clients. We
are a longstanding leader in financial planning and advice, a
global asset manager and an insurer. Our unwavering focus on our
clients and strong financial foundation connects each of our unique
businesses - Ameriprise Financial, Columbia Threadneedle
Investments and RiverSource Insurance and Annuities. Here, we
foster meaningful careers, invest in the future, and make a
difference for clients, institutions and communities around the
world.Base Pay SalaryThe estimated base salary for this role is
$128,400 / $173,300 year. We have a pay-for-performance
compensation philosophy. Your initial total compensation may vary
based on job-related knowledge, skills, experience, and
geographical work location. In addition, most of our roles are
eligible for variable pay in the form of bonus, commissions, and/or
long-term incentives depending on the role. We also have a
competitive and comprehensive benefits program that supports all
aspects of your health and well-being, including but not limited to
vacation time, sick time, 401(k), and health, dental and life
insurances.Ameriprise Financial is an equal opportunity employer.
We consider all qualified applicants without regard to race, color,
religion, sex, national origin, genetic information, age, sexual
orientation, citizenship, gender identity, disability, veteran
status, marital status, family status or any other basis prohibited
by law.Full-Time/Part-TimeFull timeExempt/Non-ExemptExemptJob
Family GroupLegal AffairsLine of BusinessGCO General Counsel's
Organization
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Keywords: Threadneedle group, Minneapolis , Director - Compliance, Executive , Minneapolis, Minnesota
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