Chief Compliance Officer
Company: Cointelegraph
Location: New York
Posted on: June 1, 2025
Job Description:
About Us:Public is an investing platform that allows people to
invest in stocks, ETFs, treasuries, crypto, art, collectibles, and
more - all in one place.Public's platform helps people be better
investors with access to custom company metrics, live shows about
the markets, and real-time analysis. Members control how they
invest with a suite of powerful tools, and get insights from a
community of millions of investors, creators, and analysts.Since
2019, Public has raised over $300 million. Investors include Accel,
Tiger Global, Will Smith's Dreamers VC, The Chainsmokers' Mantis
VC, and Shari Redstone's Advancit Capital, as well as renowned
figures in business and culture, like Sean 'Diddy' Combs, Maria
Sharapova, Tony Hawk, and NYU Stern professor Scott Galloway.What
You'll Do:
- Serve as the Chief Compliance Officer and Anti-Money Laundering
Officer of the Broker-Dealer, reporting to the Chief Administrative
Officer of Public Holdings
- Independently manage FINRA relationship, including all
examinations and regulatory requests
- Partner with the CAO, GC, COO, and others to identify key risks
and mitigating actions
- Support business teams (e.g., product, marketing, operations)
with input on regulatory compliance considerations and implications
of their work.
- Participate in the Best Execution and Order Routing
Committee
- Maintain the Written Supervisory Procedures and Compliance
Manual (WSP)
- Oversee the creation of desk / internal control procedures for
Compliance and other departments
- Leverage technology and third-party solutions to streamline
compliance processes; evaluate existing providers to identify
alternatives as needed
- Monitor regulatory updates and implement such changes, when
applicable, into the WSP and internal control procedures
- Conduct the Annual Supervisory Review and Testing, and
corresponding CEO certification under FINRA Rules 3120 and
3130.
- Ensure the annual, quarterly, and ad hoc FINRA reporting, and
submission requirements are met for the broker dealer
- Conduct and/or oversee periodic surveillance reviews for the
following areas, among others: trading surveillance, trade
reporting, review and approval of marketing / advertising / social
media materials, and review / approval of activities involving
FINRA licensed and NRF personnel
- Partner with other departments to manage the retention of
regulatory books and records pursuant to regulatory and business
requirements
- Oversee completion of training, as required (e.g., Annual
Compliance Meeting, Firm Element, Regulatory Element, etc.)Who you
are:
- Talented problem solver and risk manager, capable of
understanding and internalizing business priorities and risk
calibration.
- Ability to continually learn new skills, embracing change in
the securities industry, and working for a rapidly growing FinTech
firm
- Experience directly interacting and building relationships with
regulators
- 7+ years of relevant compliance experience working for a FINRA
regulated firm.
- Licenses required: Series 7 and 24.
- Extensive knowledge of FINRA and SEC rules and applicability of
the rules to employee and firm activities
- Knowledge and in-depth familiarity with trading, market making,
customer suitability and/or related areas is important
- Experience with the FINRA Form BD, Form BR, FINRA Contact
System, and related filings
- Experience monitoring and evaluating employee activities -
e.g., outside account monitoring, OBAs, PSTs, electronic
communications retention and surveillance, new hire onboarding,
off-boarding, and other requirements to which a broker-dealer is
subjectBonus Points:
- Series 66, 4, and/or 27.
- Experience working for FINRA or another securities regulator in
addition to working at a broker-dealer
- Experience working with UK regulatory or compliance
regimes
- Knowledge and experience working with the SEC Registered
Investment Advisor rules and regulationsPublic is an equal
employment opportunity employer to all employees and applicants for
employment and prohibits discrimination and harassment of any type.
We celebrate people of all race, color, religion, age, sex,
national origin, disability status, genetics, veteran status,
sexual orientation, gender identity, or expression.The pay range
for this position in NYC is $160,000 - $180,000/year; however, base
pay offered may vary depending on job-related knowledge, skills,
and experience. Base pay information is based on market
location.When applying, mention the word THEFUTUREOFMONEY to show
you read the job post completely.
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Keywords: Cointelegraph, Plainfield , Chief Compliance Officer, Executive , New York, New Jersey
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