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VP, Business Compliance Officer - Wealth Management

Michael Page
York, NY Full Time
POSTED ON 4/7/2026
AVAILABLE BEFORE 5/3/2026

The VP, Business Compliance Officer will strengthen the bank's Wealth Management compliance program. This position sits within a high‑visibility Risk & Compliance function and plays a key role in overseeing regulatory adherence, advising on new business activities, and shaping strong governance practices.

Client Details

Large tier-one bank located in Midtown.

Description

In this position, you will make a strategic impact by:

  • Enhancing and managing the compliance program supporting Wealth businesses, ensuring alignment with regulatory standards across OCC, consumer banking regulations, SEC, and FINRA.
  • Building strong partnerships with business leaders to address regulatory findings, lead audit/exam discussions, and present to senior management.
  • Advising on compliance considerations related to new products, services, and initiatives, including designing appropriate controls and monitoring mechanisms.
  • Developing and executing monitoring, testing, and risk assessment programs within a dynamic and evolving business model.
  • Managing key elements of the compliance framework including policies, procedures, issue management, and ongoing reporting.
  • Serving as a subject matter expert within governance forums and advising stakeholders across Wealth Management.
  • Working with technology and product teams to integrate compliance expectations into product development and operational workflows.
  • Supporting interactions with regulators by preparing materials, coordinating responses, and contributing to strategy for regulatory engagements.
  • Influencing cross‑functional teams and stakeholders through strong communication, leadership presence, and analytical insight.
  • Preparing executive‑level reporting, dashboards, and risk summaries for leadership and board committees.

Profile



What We're Looking For

  • 5 years of experience in wealth management or consumer banking compliance advisory roles.
  • 3 years of experience in consumer compliance or consumer banking, including regulatory frameworks and requirements.
  • Experience with trust and fiduciary rules is a plus.
  • Deep understanding of OCC, consumer banking regulations, FINRA, and/or SEC requirements.
  • Bachelor's degree required; advanced degrees (JD, MBA) or compliance certifications strongly preferred.
  • Exceptional written and verbal communication abilities, strong analytical skills, and a problem‑solving mindset.
  • Demonstrated ability to collaborate across lines of business and influence senior stakeholders.

Job Offer

  • Competitive salary ranging from $70,000 to $140,000 USD.
  • Comprehensive benefits package tailored to employee needs.
  • Opportunities for professional growth within the financial services industry.
  • Collaborative work environment that fosters innovation and regulatory excellence.

MPI does not discriminate on the basis of race, color, religion, sex, sexual orientation, gender identity or expression, national origin, age, disability, veteran status, marital status, or based on an individual's status in any group or class protected by applicable federal, state or local law. MPI encourages applications from minorities, women, the disabled, protected veterans and all other qualified applicants.

Salary : $70,000 - $140,000

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