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M&T Bank Institutional Broker Dealer Compliance Manager in Boston, Massachusetts

Overview:

Responsible for contributing to and supporting the broker dealer compliance program for M&T Securities, Inc. Will help develop, maintain, and continuously enhance the broker dealer compliance program to ensure the firm remains fit-for-purpose to regulatory requirements, best practices and industry standards.

Primary Responsibilities:

  • Review and update the Firm’s Written Supervisory Procedures (WSPs), Desktop Procedures, Firm Controls, and MTS procedures utilized by M&T Bank Risk and Internal Audits

  • Participate in drafting related policies and procedures.

  • Provide advice and guidance on legal, regulatory and compliance requirements as they relate to information barriers, conflicts of interest, offering rules, trade restrictions, and research

  • Monitor changes in securities regulations and implement or update applicable policies and procedures

  • Collaborate with other internal areas including MTS Operations, Middle Office; MTB Legal, Technology, Commercial Risk, Internal Audit to address compliance issues which may impact the supported business lines.

  • Support the business in performing timely compliance reviews of new products.

  • Handle internal requests and assist in preparing requirements for internal and regulatory audits

  • Manage a FINRA-compliant program, including maintaining a compliance calendar, conducting annual reviews of internal policies for applicability, reviewing new proposed regulations for applicability to the Firm, assessing potential impacts, and reporting findings to management

  • Prepare 3120 materials for Business Unit Supervisor (BUS) review, coordinate compliance and BUS review meetings, document and update meeting feedback

  • Identify, develop, and coordinate internal testing program of Firm’s policies and procedures

  • Point of contact for all MTS firm and employee licensing and registration requirements, including regulatory form filings to FINRA, states, and other SROs

  • Conduct, review, and process FINRA pre-hire check requests

  • Complete Compliance new hire on-boarding and training, licensing requests, and termination tasks

  • Review Outside Business Activities (OBA) and Private Securities Transaction (PST) requests for conflicts, provide reviewing supervisors additional information, follow-up with employee as necessary, update employee U4 (for OBA), and provide reporting

  • Monitor and follow-up on FINRA Regulatory Element Continuing Education (CE) requirements

  • Conduct compliance training for new hires and administer the Firm Element Annual Compliance Meeting and required CE

  • Review Gift and Entertainment requests

  • Design, deploy, review, and action employee certification documents on an annual basis

  • Point of contact for employee inquiries related to employee activities

  • Conduct surveillance activities including Personal Trading analysis and electronic communication surveillance.

  • Maintaining for the Firm’s Electronic Communications program, which includes email surveillance, text messaging, Teams chat, etc, including lexicon review and maintenance, review and update of surveillance rules, adding/removing personnel, scheduled and ad-hoc reporting, and statistical information

  • Supervise E-Comm reviews conduct by Business Unit Supervisors (BUS); follow-up as necessary

  • Develop and maintain regular statistical reports for management

  • Partner with MTB Technology for any technology upgrades, implementations, etc. to ensure MTS’ regulatory requirements are met and appropriate record-keeping is possible and implemented

  • Review new proposed technology and electronic communication regulations for applicability to the Firm, assessing potential impacts, and reporting findings to management

  • Design and implement Firm technology guidelines, including institutional broker-dealer requirements, review and approval process, and marketing log

  • Perform ad hoc reporting and complete projects

  • Understand and adhere to the Company’s risk and regulatory standards, policies and controls in accordance with the Company’s Risk Appetite. Identify risk-related issues needing escalation to management.

  • Promote an environment that supports diversity and reflects the M&T Bank brand.

  • Maintain M&T internal control standards, including timely implementation of internal and external audit points together with any issues raised by external regulators as applicable.

  • Complete other related duties as assigned.

Scope:

The broker-dealer compliance program includes, but is not limited to conflicts of interest, licensing and registration, electronic communications surveillance, continuing education, outside business activities, and branch/OSJ inspections. This role must develop and maintain effective relationships across business lines and enterprise-wide support functions to develop and enhance policies, procedures and controls.

Education and Experience Required:

  • Bachelor’s degree and 5 years' financial services industry experience with experience in broker dealer compliance or in lieu of degree a combined minimum of 9 years higher education and/or work experience including 5 years’ financial services industry experience with significant experience in broker dealer compliance.

  • Possess, or be willing to obtain, Series 14 (or 7 & 24, 63) licenses within 6 months of hire.

  • Proficiency in Microsoft Office products.

Education and Experience Preferred:

  • MBA or advanced degree

  • Excellent analytical, reasoning, and problem-solving skills.

  • Excellent verbal, written and interpersonal communication skills.

  • Have a strong sense of responsibility and responsiveness

  • Ability to multi-task, meet deadlines and handle multiple projects/priorities

  • Ability to work well independently as well as collaboratively.

  • Detail oriented and adaptable

  • Motivated with a desire to learn and deliver results

  • Institutional Broker-Dealer Compliance experience

  • Possess self-confidence and can interact successfully with all levels of personnel

  • Experience with StarCompliance, Proofpoint, Ariba, marketing review platforms

M&T Bank is committed to fair, competitive, and market-informed pay for our employees. The pay range for this position is $98,720.40 - $164,534.00 Annual (USD). The successful candidate’s particular combination of knowledge, skills, and experience will inform their specific compensation.

Location:

Boston, Massachusetts, United States of America

M&T Bank Corporation is an Equal Opportunity/Affirmative Action Employer, including disabilities and veterans.

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