Chief Compliance Officer

MONECO Advisors, LLC

Location: Fairfield, CT

MONECO Advisors is a holistic financial services firm headquartered in Fairfield, CT with offices in CT, NJ and RI offering a wide range of financial planning solutions. The firm takes a modern approach to the finance industry and its success is rooted in its strong culture. MONECO advises on over $1.7 billion in assets for approximately 2,500 client families. MONECO is looking for energetic individuals who will bring a fresh perspective and innovative touch to a traditional concept.

The CCO is responsible for all compliance and supervisory functions while being a liaison for the firm leaders and may designate other individuals for compliance assistance, such as maintaining logs, compliance research, etc. This role will serve as a key contributor to MONECO’s growth and influence business processes and activities.

Responsibilities:

• Continually review, enhance, and structure the MONECO compliance program to ensure compliance with applicable regulatory requirements and adaptation of MONECO business, both current and future

• Effectively identify, communicate, escalate and resolve compliance matters as appropriate.

• Monitor for and analyze proposed and current regulatory requirements and interpretations that impact or may impact MONECO.

• Oversee third-party compliance service provider’s tests of MONECO’s compliance policies and procedures.

• Oversee third-party IT provider to adhere to MONECO’s Cybersecurity policies and identify gaps and implement corrective action, as necessary.

• Manage internal review of marketing, advertising, and client service-related materials for compliance with regulatory requirements.

• Maintain oversight of portfolio trading and investment activity against investment guidelines, restrictions, disclosures, and regulatory requirements.

• Provide training on regulatory and compliance related matters and requirements; oversee the preparation of regulatory filings.

• Manage SEC and branch examinations, and lead responses to any regulatory inquiries or requests

• Be a superuser of the Orion Compliance program.

• Responsible for leadership, development, mentoring and team building among the compliance department and vendors.

Requirements:

· 10+ years of general compliance experience, with most recent experience being with an RIA firm $2B or larger

· Experience overseeing SEC and other regulatory exams, as well as working with broker dealer examiners

· Compliance auditing experience

· IARD System knowledge

· Experience updating ADV/U4 and Policy Procedures

· Experience in managing, testing, monitoring and oversight of compliance policies

· Experience managing a team

· Previous FINRA/BD experience, including a Series 24, preferred

· Experience in working with firm’s who have been active in adding advisors and conducting M&A, preferred

· Industry conference speaker or panelist experience, a plus

Salary and Benefits:

· Competitive salary and compensation (based on experience)

· Medical Insurance

· Dental/Vision Program

· Life and Personal Accident Insurance

· Short term Disability Insurance

· Long-term Disability Insurance

· 401(k) Plan with company match

· 4 weeks PTO and paid holidays

Apply now at monecoadvisors.com/careers!

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Compliance Manager

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Assistant Vice President, Compliance & Privacy