Compliance Risk Management Lead - Vice President

JPMorgan Chase JPMorgan Chase · Banking · New York, NY +1 · Corporate Sector

This role is for a Compliance Risk Management Lead at JPMorgan Chase, focusing on the J.P. Morgan Wealth Management (JPMWM) organization, specifically the online brokerage platform. The lead will advise on compliance aspects of products and services, identify risks, act as a second line of defense, and collaborate with various internal stakeholders and external regulators. The role requires expertise in financial industry compliance, investment products, and regulatory requirements. While familiarity with AI and automation tools is mentioned for enhancing compliance processes, the core function of the role is not AI development or research.

What you'd actually do

  1. Advise the JPMWM business on compliance aspects of new and existing products and services including but not limited to the firm’s online investing platform, digital account opening, investment funding, margin and lending.
  2. Identify compliance and conduct risks inherent within JPMWM
  3. Act as independent second line of defense and challenge function to JPMWM, raising issues for the business to remediate through action plans and partnering with the business process owners in control design, control evaluation, and issue management of compliance and conduct risks.
  4. Collaborate with Legal, regulatory engagement, the business and other control functions to gather information and review responses to regulatory examinations, audits, investigations, inquiries, and other information requests.
  5. Build and maintain strong client relationships with the business, Risk, Legal, Technology and business aligned Corporate Functions.

Skills

Required

  • financial industry experience
  • regulator experience
  • law firm experience
  • control function experience
  • Compliance
  • risk management
  • in-house attorney experience
  • audit experience
  • wealth management
  • private banking
  • asset management
  • institutional capital markets
  • financial investment products
  • broker-dealer services
  • investment adviser services
  • fixed income
  • equity
  • listed options
  • margin trading
  • SEC rules
  • FINRA rules
  • MSRB rules
  • SRO rules
  • independent decision making
  • analytical skills
  • problem solving skills
  • project management skills
  • attention to detail
  • process and control issue identification
  • solution development
  • interpersonal skills
  • influencing skills
  • change management
  • multi-tasking
  • prioritization
  • fast-paced environment adaptability
  • evolving environment adaptability

Nice to have

  • Familiarity with Wealth Management (WM)
  • online brokerage platforms
  • digital innovation
  • tools and technology
  • cryptocurrency markets
  • digital-asset markets
  • evolving regulatory frameworks
  • credit risk
  • investment risk

What the JD emphasized

  • Minimum University/Bachelor’s Degree with at least 6+ years of financial industry experience as a regulator in a law firm or control function such as Compliance, risk management, an in-house attorney or audit in a large financial institution offering wealth management, private banking, asset management and institutional capital markets
  • Expertise in financial investment products and services offered by a broker-dealer and investment adviser (e.g. investments such as fixed income, equity, listed options, margin trading, etc) and related SEC, FINRA, MSRB and other SRO rules and regulations