Job Description
Summary
About the team:
The Compliance team at Robinhood Securities, LLC ("RHS"), and Robinhood Financial, LLC ("RHF"), drives a culture of compliance that actively supports the people, process and technologies vital to our business. We strive to craft and implement effective compliance programs to protect customers, promote market integrity, and reduce regulatory, financial, operational and reputation risk.
The Senior Manager of Compliance Communications will be responsible for reviewing, advising, auditing, and Principal Reviewing - PR (approving) retail communications content (which includes advertising & marketing) to ensure compliance with regulatory requirements and internal guidelines.
The Sr. Manager will support the team in guiding internal customers (Marketing, Social, Communications, Public Relations (PR), Research and Product) teams on the compliance guidelines for projects and customer facing communications to ensure we meet our requirements under Firm policy, SEC rules, FINRA regulations and other regulatory agencies.
The role is located in the office location(s) listed on this job description which will align with our in-office working environment. Please connect with your recruiter for more information regarding our in-office philosophy and expectations.
What you’ll do day-to-day:
- Lead a team of communication specialists to ensure compliance guidelines for communications are followed
- Develop and implement process improvements to increase quality and scalability
- Establish program efficiencies and enhance processes within the team
- Build strong relationships and align compliance strategy among different stakeholders
- Review, analyze, and advise stakeholders on the adherence of communications with compliance and internal guidelines
- Principal Review (approve) communications materials to ensure it meets regulatory and internal standards
- Guide internal customers and staff on compliance for projects and deliverables
- Conduct internal Quality Assurance of the communications compliance review process and final approved marketing pieces
About you:
- Bachelor’s Degree
- FINRA Series 7 and 24, Series 4 is nice to have
- 7+ years working in compliance or a relevant function
- 5+ years managing people or leading teams
- Ability to effectively manage multiple priorities and adapt to a changing environment
- Good written and verbal communication, strategic, negotiation skills and strong attention to detail
- General financial services industry experience as a regulator or within compliance, audit, risk, marketing, or communication
Base pay for the successful applicant will depend on a variety of job-related factors, which may include education, training, experience, location, business needs, or market demands. The expected salary range for this role is based on the location where the work will be performed and is aligned to one of 3 compensation zones. This role is also eligible to participate in a Robinhood bonus plan and Robinhood’s equity plan. For other locations not listed, compensation can be discussed with your recruiter during the interview process.
Zone 1 (Menlo Park, CA; New York, NY; Bellevue, WA; Washington, DC)
$183,000 - $215,000 USD
Zone 2 (Denver, CO; Westlake, TX; Chicago, IL)
$161,000 - $189,000 USD
Zone 3 (Lake Mary, FL; Clearwater, FL; Gainesville, FL)
$143,000 - $168,000 USD
Skills
- Communications Skills
- Compliance Knowledge
- Leadership