What are the responsibilities and job description for the Compliance Director position at CreativeOne?
Department: Wealth/Securities Compliance
Reports To: Chief Compliance Officer
Status: Full-time, Exempt
Location: Overland Park, Kansas (onsite)
Elevate Your Career at CreativeOne!
Looking for a dynamic and rewarding career in financial services? Join us at CreativeOne, where we blend
collaboration, innovation, and excellence to forge a path in the financial services industry. We pride ourselves on
being a nationally recognized leader, devoted to empowering independent financial advisors with superior
services.
Why Join CreativeOne?
- Energetic and fun work environment
- A culture driven by solutions and results
- Opportunities for growth and development
We’re Building a Better Financial Future, Together
We take immense pride in our work and are in search of like-minded individuals who are eager to make a
significant impact. If you’re ready to be a part of a team that’s shaping the future of financial services, we’d love to
hear from you.
Position Summary
The Compliance Director uses knowledge and skills obtained through education and experience to ensure
compliance of broker-dealer and investment advisory business practices for our dually registered Broker-Dealer
and Registered Investment Adviser. This role will be responsible for ensuring that the firm operates in full
accordance with applicable federal securities laws, FINRA rules, SEC regulations, and internal policies across both
business lines.
The Compliance Director will also perform other large or multiple initiatives that have significant scope and impact
which support the firm’s compliance monitoring of commissioned products and fee-based advice. The ideal
candidate will work independently and with teams on difficult assignments that can be broad in nature to provide
comprehensive solutions to complex problems along with routine oversight functions.
Duties and Responsibilities include, but not limited to:
- Stays abreast of regulatory changes and annual filing requirements.
- May manage a compliance team, with responsibility for daily direction, performance development and
performance management.
- Leads the firm’s advertising review process, maintaining and ensuring knowledge of current regulatory and
industry requirements.
- Designs, implements, and executes activities related to portfolio monitoring and oversight.
- Administers the firm’s Code of Ethics and daily monitoring.
- Interprets data and analyzes activities identified via various data systems and reporting.
- Conducts due diligence related to specific risk factors through the review of client documentation, trade
history, account holdings, and/or other factors as necessary. Includes directly contacting Registered
Representatives and/or Investment Advisor Representatives and communication with branch
management.
- Provides compliance support in the development and enhancement of compliance oversight programs for
broker-dealer and investment advisory activities, products and various areas of coverage including
operational businesses.
- Assists with compliance governance reporting for all compliance pillars, including compliance
representation, conducting research, due diligence, documentation, escalation, collaboration within and
outside compliance groups related, but not limited to, issue management, emerging risks, regulatory
changes, supplier, and product risk assessments.
- Reports compliance program status and activities to compliance and business management personnel by
preparing both written and oral presentations, including assigned business areas and monitoring reviews.
- Monitors exception and other internal reports for adherence with applicable rules and regulations and
escalate identified issues to Senior Management any that involve rule violations or potential liability.
- Researches, interprets, and translates regulatory rules/regulations or company policies for Senior
Management and supported business units.
- May contribute to compliance training programs, assist with responses to regulatory agency inquires and
updating policies and procedures.
- Coaches and mentors less experienced Compliance associates.
- Performs other duties and responsibilities as assigned.
Critical Skills Sought
- Concepts, practices, and procedures of securities industry and/or banking compliance reviews.
- Rules and regulations of the Securities Exchange Commission (SEC); Financial Industry Regulatory
Authority (FINRA); and state securities regulatory agencies; and/or Federal Deposit Insurance Corporation
(FDIC); Office of the Comptroller of the Currency (OCC); Federal Financial Institutions Examination Council
(FFIEC); Office of Thrift Supervision (OTS); Federal Reserve System; and state banking regulatory agencies.
- Experience with advertising review and communicating requirements to advisors.
- Fundamental investment concepts, practices and procedures used in the securities industry.
- Principles of banking and finance and securities industry operations.
- Financial markets and products.
Preferred Background/Experience
- Overseeing compliance programs.
- Integrating and aligning compliance processes and procedures with business processes.
- Coordinating complex compliance activities.
- Providing support and guidance for compliance efforts.
- Identifying and implementing controls and quality assurance processes.
- Reviewing materials for compliance with rules and regulations.
- Researching compliance issues.
- Developing compliance training programs.
- Gathering information and preparing oral and written reports.
- Preparing and delivering written and oral presentations.
- Investigating compliance irregularities.
- Making rule-based, risk-based, and analytical decisions.
- Operating standard office equipment and using required software applications.
Ability to
- Provide training, coaching, and mentoring for others.
- Partner with other functional areas to accomplish objectives.
- Facilitate meetings, ensuring that all viewpoints, ideas, and problems are addressed.
- Attend to detail while maintaining a big picture orientation.
- Gather information, identify linkages and trends, and apply findings to assignments.
- Interpret and apply securities and/or banking regulations and identify and recommend compliance
changes as appropriate.
- Work under pressure on multiple tasks concurrently and meet deadlines in a fast-paced work
environment with frequent interruptions and changing priorities.
- Use appropriate interpersonal styles and communicate effectively, both orally and writing, with all
organizational levels.
- Work independently as well as collaboratively within a team environment.
- Provide a high level of customer service.
- Establish and maintain effective working relationships at all levels of the organization.
- Maintain confidentiality.
- Maintain currency in securities and/or banking industry rules and regulations and best practices in
compliance.
Preferred Requirements:
- BA/BS or equivalent experience.
- FINRA licenses 7, 65 (or combination of 7 and 66), and 24.
- Minimum of 7 - 10 years of managerial and/or experience as a compliance professional at a broker-dealer,
- Deep knowledge of FINRA and SEC regulations, the Investment Advisers Act of 1940, and Investment
- Familiarity with set up and administration of email surveillance tools, such as Smarsh, as well as
Demonstrate and Represent Our Core Values
- Provide Unreasonably Excellent Service
- Love What We Do
- Act With Integrity
- Collaborate Courageously
- Evolve With Purpose
About CreativeOne
CreativeOne is an industry-leading marketing and consulting firm that helps independent financial advisors grow their
businesses. We combine deep financial expertise with full-service creative and media capabilities, delivering tailored
marketing that drives measurable growth. With over 40 years of innovation behind us, we’re building the next generation
of advisor marketing—and we’re looking for top talent to help lead the way.
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This description covers the major purpose and major functions of the job. It is not intended to give all details or a step-by-step
account of the way each task is to be performed. Employees may receive other job-related instructions and be required to
perform other job-related duties requested by their supervisor. All requirements are subject to possible modification to provide
reasonable accommodation to qualified individuals with disabilities.
CreativeOne provides equal employment opportunities to all employees and applicants for employment and prohibits
discrimination and harassment of any type without regard to race, color, religion, age, sex, national origin, disability status,
genetics, protected veteran status, sexual orientation, gender identity or expression, or any other characteristic protected by
federal, state or local laws.
Our company does not currently sponsor employment visas. Applicants must be authorized to work for any employer in the U.S.