Central Compliance, Vice President- Corporate & Investment Banking
Company: Santander Holdings USA Inc
Location: New York
Posted on: February 2, 2025
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Job Description:
Central Compliance, Vice President- Corporate & Investment
BankingNew York, United States of AmericaThe Central Compliance VP
Monitors activities to minimize the company's exposure to risk.
Activities may include data analysis, risk identification and
remediation. Represents or supports the reputation of the company
to minimize compliance and regulatory risk by resolving issues and
ensuring adherence to company and legal standards. Responsible for
ensuring that company's activities adhere to the necessary rules
and regulations, and that the company complies with
legal/regulatory statutes and jurisdictions. More specifically,
this role will provide Compliance advisory and operational support
for Licensing and Registration and Employee Compliance (including
but not limited to Code of Conduct, Personal Account Dealing,
Outside Business Activities Gifts & Entertainment, Political
Contributions, SEC Rule 15a-6 related certifications, Continuing
Education Essential Functions/Responsibility Statements: Primarily
responsible for executing compliance processes and controls for
initiating, maintaining, and updating SEC, CFTC, FINRA, NFA related
registrations and filings for the Firm and associated persons
including Forms U4/U5, Form BD, Form BR, Form 7R, and assists in
the completion of associated requirements. Provides support for
carrying out additional compliance functions related to: employee
pre-clearance requests including, but not limited to, personal
trading, gifts & entertainment, outside business activities,
political contributions new hire onboarding, employee attestations,
SEC Rule 15a-6 related certifications. Provides guidance and
responds to employee queries regarding Licensing and Registration
and other Employee Compliance matters. Undertakes standard reviews,
creates/maintains compliance metrics, as needed, and escalates to
senior staff where non-compliance is identified. Assists in
updating Compliance processes and manuals. Conducts training of new
hires and current staff and provides guidance to employees on
compliance policies. Identifies systemic procedural weaknesses and
additional training requirements needed to ensure compliance.
Evaluates controls in place to ensure continuous compliance
measures with laws, regulations and policies affecting the
organization, recommends process improvements to management.
Collaborates with team on projects and program tasks intended to
improve compliance and enhance the control environment. Keeps
current on existing and proposed legislation, regulatory
announcements, and industry practices for compliance requirements,
and works with team to implement procedures to meet these
requirements. Validates controls or project plans to ensure
compliance with laws, rules and regulations. Qualifications: To
perform this job successfully, an individual must be able to
perform each essential duty satisfactorily. The requirements listed
below are representative of the knowledge, skill, and/or ability
required. Reasonable accommodations may be made to enable
individuals with disabilities to perform the essential functions.
Education: Bachelor's Degree: Business, Finance or equivalent
degree. Work Experience: 9 Years Compliance, Legal, Regulatory, or
Financial Services. Pref FINRA Licensing and Registration
experience required. Skills and Abilities: Knowledge of the FINRA
Gateway Practical knowledge of key business control areas (Audit &
Risk Review, Risk Management, Finance, Human Resources, Compliance
and Legal) and governmental regulatory agencies. Pref Ability to
quickly and effectively respond to inquiries. Ability to
effectively deal with senior management and work cross-functionally
as a team player. Ability to guide staff and numerous projects
simultaneously. Ability to communicate effectively, and influence
others, including senior leadership. Ability to work under pressure
and within tight deadlines with a consistently high level of
accuracy. Excellent verbal and written communication skills.
Proactive and self-starter with high level of ownership and strong
attention to detail. Motivated by daily operational processes and
the opportunity to refine those processes. Advanced Microsoft
Office (Excel, Word, PowerPoint, Outlook, Sharepoint) skills a
plus. Strong project management skills. Diversity & EEO Statements:
At Santander, we value and respect differences in our workforce and
strive to increase the diversity of our teams. We actively
encourage everyone to apply. Santander is an equal opportunity
employer. All qualified applicants will receive consideration for
employment without regard to race, color, religion, sex, sexual
orientation, gender identity, national origin, genetics,
disability, age, veteran status or any other characteristic
protected by law. Working Conditions: Frequent Minimal physical
effort such as sitting, standing and walking. Occasional moving and
lifting equipment and furniture is required to support onsite and
offsite meeting setup and teardown. Physically capable of lifting
up to fifty pounds, able to bend, kneel, climb ladders. Employer
Rights: This job description does not list all of the job duties of
the job. You may be asked by your supervisors or managers to
perform other duties. You may be evaluated in part based upon your
performance of the tasks listed in this job description. The
employer has the right to revise this job description at any time.
This job description is not a contract for employment and either
you or the employer may terminate at any time for any reason.
Primary Location: New York, NY, Madison Ave Corp Other Locations:
New York-New York Organization: Santander US Capital Markets LLC
Salary: $90,000 - $165,000/years-p-m1 By applying, you consent to
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Keywords: Santander Holdings USA Inc, East Orange , Central Compliance, Vice President- Corporate & Investment Banking, Executive , New York, New Jersey
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