Compliance Project Manager - Broker Dealer Services

Apply Now

Company: G MASS

Location: New York, NY 10025

Description:

We are seeking an experienced Compliance Project Manager with extensive expertise in broker-dealer services and financial regulatory compliance to join a high-performing team within a leading Hedge Fund in New York City. This is an exciting 12-month contract opportunity for a seasoned professional to lead the development of a Broker Dealer Services framework, enhancing regulatory adherence, operational efficiency, and risk mitigation. The ideal candidate will be a subject matter expert in broker-dealer operations and possess a deep understanding of US and global regulatory frameworks.

This role is perfect for a proactive leader with a strong background in hedge funds, broker-dealers, or prime brokerage, who can define policies, build scalable infrastructure, and drive end-to-end compliance initiatives in a fast-paced environment.

Responsibilities:
  • Act as a subject matter expert (SME) on broker-dealer regulations, including SEC, FINRA, CFTC, and applicable global frameworks, ensuring robust compliance and risk management.
  • Lead the end-to-end development of the Broker Dealer Services framework, from defining policies and procedures to building scalable infrastructure and ensuring operational excellence.
  • Collaborate with compliance, operations, legal, and technology teams to enhance capabilities in regulatory adherence, operational efficiency, and risk mitigation.
  • Design and implement processes to support broker-dealer activities, ensuring scalability and alignment with organizational goals.
  • Interpret regulatory requirements, assess their impact on operations, and drive strategic solutions to maintain compliance.
  • Manage stakeholder relationships, leading initial discussions, overseeing project delivery, and influencing senior leadership with clear, actionable insights.
  • Support regulatory audits, examinations, and inquiries, ensuring preparedness and alignment with industry standards.

Requirements
  • Bachelor's degree in Finance, Business, Law, or a related field.
  • 10+ years of experience in financial services, with a strong focus on hedge funds, broker-dealers, or prime brokerage.
  • Extensive knowledge of SEC, FINRA, CFTC, and global regulatory frameworks governing broker-dealer activities.
  • Proven experience in defining policies, building compliance infrastructure, and ensuring scalability within a regulatory context.
  • Strong project management skills, with a track record of leading end-to-end initiatives from inception to implementation.
  • Exceptional analytical and problem-solving abilities, with the capacity to design and optimize processes in a complex, fast-paced environment.
  • Excellent communication skills, with the ability to influence senior stakeholders and collaborate effectively across teams.
  • Hands-on experience in regulatory compliance within financial services, ideally with broker-dealer operations.

Benefits
  • Corp to Corp rate of $900-$1000 per day.
  • 12-month contract with an immediate start.
  • Fully onsite role requiring 5 days a week in the office.

Similar Jobs