
Manager, Compliance Product Management
- New York City, NY
- Permanent
- Full-time
- Own the full product lifecycle for compliance applications, including requirements gathering, roadmap planning, prioritization, and delivery
- Ensure product capabilities align with SEC and FINRA regulations related to recordkeeping, surveillance, insider trading, employee trading, and disclosures
- Serve as the key liaison between Compliance, Legal, Engineering, and vendors to gather feedback and convert business needs into technical requirements
- Drive integration of third-party compliance tools (e.g. surveillance, e-communications monitoring, and case management) into internal platforms
- Collaborate with data teams to maintain accurate, auditable compliance data that supports internal reporting and regulatory investigations
- Lead agile ceremonies, manage sprint backlogs, track progress, and deliver high-quality, timely solutions
- Evaluate, onboard, and manage vendors providing compliance-related technologies and services
- Support internal audits and risk assessments through clear documentation, transparent workflows, and process improvements
- Perform other tasks and duties as required and assigned
- Bachelor's Degree from an accredited university, or equivalent work experience required
- Minimum 8+ years of relevant and managerial experience at a broker-dealer, trading desk, asset manager, or investment bank
- Advanced skills in MS Office
- Proven experience working with SEC, FINRA or other similar regulatory frameworks
- General understanding of financial products (e.g., equities, fixed income, derivatives) and broker-dealer operations required
- Experience integrating third-party compliance systems (e.g., surveillance systems, communication systems, transaction monitoring system) required
- Solid technical aptitude with the ability to work effectively with engineering teams and understand APIs, data pipelines, and enterprise architecture
- Ability to demonstrate exceptional organizational, time management, and project management abilities
- Strategic thinker with creative and effective problem-solving skills
- Excellent communication and stakeholder management skills
- Experience with Agile or Scrum methodologies
- Familiarity with compliance analytics or AI/ML-driven compliance monitoring preferred
- Hands-on experience managing regulatory response efforts or audits preferred
- MBA or related certification (e.g., CRCM, CAMS) is a plus
- Comprehensive medical, dental, and vision coverage with multiple health plan options for you and your family
- Health Savings Account with company-sponsored contributions
- Flexible Spending Accounts (FSA) traditional and dependent care
- Pre-Tax Commuter Benefits
- 401(k) plan with discretionary, competitive company matching and profit-sharing contributions
- Tuition reimbursement up to $5,250/year
- 3 weeks of Paid Time Off
- 2 weeks of Paid Sick Time (may vary by location)
- 10 Paid Holidays
- Charitable Donation Matching Contributions
- Paid Leave (Parental Bonding, Military, Jury Duty, Volunteer Time Off, Disability, etc.)
- FINRA License Sponsorship
- Travel & Employee Assistance and Employee Discount Programs