Compliance Lead, Broker-dealer & Investment Adviser

Gusto Gusto · Fintech · Denver, CO +2 · Legal & Compliance

This role is a Compliance Lead for Broker-Dealer & Investment Adviser at Gusto, focusing on owning and maturing the compliance program, including AI governance frameworks. The role requires deep knowledge of FINRA and SEC regulations, managing regulatory filings, examinations, and supervisory controls. It involves hands-on execution, strategic oversight, and ensuring AI tools used within the compliance program are deployed lawfully and outputs are validated. The position is critical for maintaining a defensible and modern compliance program in a regulated financial services environment.

What you'd actually do

  1. Own and mature the end-to-end compliance program across both the BD and RIA, ensuring the frameworks, controls, and infrastructure, including AI governance, keep pace with Gusto's growth
  2. Serve as the primary compliance lead on all FINRA and SEC regulatory matters, including filings, examinations, supervisory control testing, and evolving regulatory guidance on AI use in compliance programs
  3. Lead and develop the relationship with compliance consulting firm(s), directing their work across both entities and ensuring coverage is aligned with Gusto's risk posture
  4. Build and maintain policies and procedures across both entities, covering advertising, Reg SP, complaints, books and records, BCP, Code of Ethics/Conduct, trade errors and more
  5. Supervise AI tools used across the compliance program, including ongoing review and testing, ensuring outputs are validated by qualified licensed humans, identifying opportunities to expand team capacity, and flagging functions where AI use is not permitted

Skills

Required

  • 7+ years of compliance experience at a FINRA-registered broker-dealer and SEC-registered investment adviser
  • Deep working knowledge of FINRA Rules, the SEC Rules (including the Marketing Rule, Reg S-P and Reg S-ID), GLBA, and Bank Secrecy Act
  • Proven track record owning regulatory filings (Form BD, ADV, U4/U5, CRS), leading exam preparation and response, and running supervisory control testing and advertising review across both RIA and BD entities
  • Familiarity with compliance technology (e.g., ComplySci, Global Relay), books and records obligations under Rules 17a-4 and 204-2, and AI governance frameworks in a regulated environment
  • Strong written communication skills with the ability to draft, own, and defend compliance documentation under regulatory scrutiny and comfortable managing multiple programs in a lean, high-accountability team
  • Active SIE, Series 7, and Series 24 licenses
  • Experience at a fintech-integrated RIA/BD, comfortable working at the intersection of technology, product, compliance, and AI governance
  • Experience with outsourced compliance models (e.g., third-party consulting firms)
  • Prior experience managing compliance staff

What the JD emphasized

  • AI governance frameworks
  • AI tools used across the compliance program
  • AI use in compliance programs
  • AI governance in a regulated environment
  • AI governance