VP Compliance & Chief Compliance Officer Empower Capital Management
Company: Empower Retirement, LLC
Location: Overland Park
Posted on: January 29, 2025
Job Description:
VP Compliance & Chief Compliance Officer Empower Capital
Management
VP Compliance & Chief Compliance Officer Empower Capital
Management
Apply remote type Remote - Nationwide locations Nationwide Remote
time type Full time posted on Posted 3 Days Ago time left to apply
End Date: January 18, 2025 (6 days left to apply) job requisition
id R.0049503
Our vision for the future is based on the idea that transforming
financial lives starts by giving our people the freedom to
transform their own. We have a flexible work environment, and fluid
career paths. We not only encourage but celebrate internal
mobility. We also recognize the importance of purpose, well-being,
and work-life balance. Within Empower and our communities, we work
hard to create a welcoming and inclusive environment, and our
associates dedicate thousands of hours to volunteering for causes
that matter most to them.
Chart your own path and grow your career while helping more
customers achieve financial freedom. Empower Yourself.
The VP Compliance & CCO for Empower Capital Management, LLC (ECM)
and Empower Funds, Inc. leads an organization of compliance
professionals. The team oversees compliance activities for:
- Empower Funds, Inc., which is an open-end investment company
offering more than forty mutual funds and individual funds across
the spectrum of asset classes;
- ECM, which serves as an investment advisor to Empower Funds,
Inc.;
- registered Separate Accounts;
- the Empower Investments business line.
This role leads a team of compliance professionals who provide
advice and guidance to the Empower Investments business division;
provide quarterly briefing and reporting to the fund and adviser
boards; and execute advisor program requirements including required
regulatory filings such as Form ADV, policy and Code of Ethics
management, and sub-advisor and service provider due diligence.
This strategic leader will interact frequently with business
leaders at all levels of the organization. The primary focus
includes development and operation of a Compliance program that
meets the regulatory requirements.
What you will do
- Oversee the management, development, implementation and
maintenance of the compliance program for each of the above
entities and ensure the company's compliance with all applicable
federal and state regulations and corporate policies.
- Provide management and leadership to the compliance
organization with primary focus on engaging and building a
high-caliber team; training and developing the team; ensuring a
strong bench; mentoring and developing junior talent to succeed;
and being a champion of the culture of Empower and the importance
of a world-class compliance organization.
- Partner with other Compliance leaders who are responsible for
Corporate Compliance functions to manage, develop, document and
maintain a compliance program that includes: risk assessments;
development and maintenance of applicable policies, procedures, and
guidelines; and monitoring, testing and reporting protocols that
are appropriately tailored to prevent, detect and correct specific
compliance risks.
- Serve as a key member of the Compliance leadership team,
collaborating to strategically define a vision for a more mature
Compliance function, and executing tactical steps required to
realize that vision and mature the Compliance function.
- Provide valued partnership to the business and challenges as
needed to ensure regulatory compliance and protect investors,
bringing a collaborative approach to solving problems.
- Present regularly to the governance committees of the
firm.
- Manage, develop, document and maintain effective controls
designed to monitor the effectiveness of the compliance
program.
- Ensure and support adequate review of the appropriateness of
the compliance system and procedures and implement necessary
remediation for any identified deficiencies.
- Monitor and communicate regulatory developments in the
investment advisory industry and working with the firms' leadership
regarding the impact of such developments.
- Monitor compliance with all policies/guidelines and regulations
of federal and state governing bodies, internal policies and
procedures and the firm's strategic objectives.
- Work seamlessly with senior leadership partners to develop,
implement and enforce policies, procedures, standards and controls
that support existing business operations as well as future
strategic product and service initiatives.
- Maintain or establish risk-based strategies for identifying and
prioritizing compliance related risks and collaborating with senior
business partners and other stakeholders to mitigate these
risk/exposures.
QUALIFICATIONS:
- Bachelor's degree required, legal degree a plus.
- 10+ years of experience with compliance requirements under the
Investment Company Act and the Investment Advisers Act.
- Significant asset management compliance experience in the
industry with deep knowledge of industry best practices.
- FINRA 6 and 26 registrations preferred within
corporate-established timelines.
- FINRA fingerprinting required.
- A business leader and compliance leader with a reputation and
track record operating with the highest ethical standards.
- Ability to anticipate regulatory trends and issues and develop
an organizational roadmap to align with these trends.
- Strong people leadership skills with the ability to manage a
broad team; hire and retain talent; mentor, coach and nurture
junior employees and drive and encourage team members to grow and
succeed.
- A strategic thinker with strong analytical ability, superb
judgment and strong operational understanding of broker dealers,
and financial advisory companies.
- Ability to analyze and interpret complex and multifaceted
issues and present findings clearly and succinctly to "C" and Board
level audiences.
- Willingness to lead and collaborate with all levels of
leadership in a dynamic environment with evolving regulations,
policies and procedures and strong business line growth.
- Unquestionable integrity; leads and communicates with
transparency. Is decisive; drives to the appropriate decision
quickly.
- No history of any regulatory findings or sanctions.
***Applicants must be authorized to work for any employer in the
U.S. We are unable to sponsor or take over sponsorship of an
employment visa at this time, including CPT/OPT.***
What we offer you
- Medical, dental, vision and life insurance
- Retirement savings - 401(k) plan with generous company matching
contributions (up to 6%), financial advisory services, potential
company discretionary contribution, and a broad investment
lineup
- Tuition reimbursement up to $5,250/year
- Business-casual environment that includes the option to wear
jeans
- Generous paid time off upon hire - including a paid time off
program plus ten paid company holidays and three floating holidays
each calendar year
- Paid volunteer time - 16 hours per calendar year
- Leave of absence programs - including paid parental leave, paid
short- and long-term disability, and Family and Medical Leave
(FMLA)
- Business Resource Groups (BRGs) - internal networks that rally
around common interest, experiences and identities such as race,
ethnicity, gender, ability, military status and sexual orientation.
BRGs play a vital role in educating and engaging our people and
advancing our business priorities.
Base Salary Range
$210,800.00 - $305,675.00
The salary range above shows the typical minimum to maximum base
salary range for this position in the location listed. Non-sales
positions have the opportunity to participate in a bonus program.
Sales positions are eligible for sales incentives, and in some
instances a bonus plan, whereby total compensation may far exceed
base salary depending on individual performance. Actual
compensation offered may vary from posted hiring range based upon
geographic location, work experience, education, licensure
requirements and/or skill level and will be finalized at the time
of offer.
Equal opportunity employer --- Drug-free workplace
We are an equal opportunity employer with a commitment to
diversity. All individuals, regardless of personal characteristics,
are encouraged to apply. All qualified applicants will receive
consideration for employment without regard to age (40 and over),
race, color, national origin, ancestry, sex, sexual orientation,
gender, gender identity, gender expression, marital status,
pregnancy, religion, physical or mental disability, military or
veteran status, genetic information, or any other status protected
by applicable state or local law.
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Keywords: Empower Retirement, LLC, Kansas City , VP Compliance & Chief Compliance Officer Empower Capital Management, Executive , Overland Park, Kansas
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