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Vanguard

Director, Supervision Governance

Reposted 19 Days Ago
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In-Office
Charlotte, NC, USA
Expert/Leader
In-Office
Charlotte, NC, USA
Expert/Leader
Lead firm-wide governance of broker dealer Written Supervisory Procedures. Manage supervision teams, ensure compliance with regulations, oversee control testing, and drive process improvements while collaborating with leadership.
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Key Responsibilities

  • Lead the firm-wide governance and oversight of broker dealer Written Supervisory Procedures (WSPs), including drafting, updating, and coordinating policy changes in response to regulatory developments, end-to-end business activity, and internal control enhancements.

  • Manage a team of supervision analysts and/or supervisory principals responsible for executing supervisory reviews, control testing, and procedural documentation.

  • Facilitate governance routines, including supervisory committees, policy vetting cycles, and internal audits; prepare agendas, minutes, and follow-up actions.

  • Partner with Compliance and Legal to ensure supervisory procedures align with regulatory requirements (e.g., FINRA Rules 3110, 3120, 3130) and firm policies.

  • Oversee supervisory control testing programs and contribute to annual supervisory certifications and reports to senior management.

  • Provide strategic leadership on supervision modernization initiatives, including technology implementations, data-driven oversight models, and process improvements.

  • Serve as escalation point for supervisory issues identified across business units; coordinate remediation plans and ensure timely resolution.

  • Support training and development of supervisory staff; foster a culture of accountability, risk awareness, and continuous improvement.

  • Provide thought leadership and collaborate with business leaders to ensure existing or new products, services, and strategic initiatives have required supervision necessary to meeting regulatory obligations.  

Qualifications:

  • Bachelor’s degree required; advanced degree (JD, MBA) preferred.

  • Minimum 10 years of experience in brokerage financial services, with at least 5 years in supervision, compliance, or risk management roles.

  • Demonstrated experience managing teams and leading cross-functional initiatives.

  • Deep understanding of broker-dealer regulatory framework, including FINRA, SEC, and state securities regulations.

  • Strong writing, communication, and presentation skills; ability to influence across organizational levels.

  • Active FINRA licenses required: Series 7, Series 24, 9/10, or equivalent supervisory licenses required.

  • Experience with governance routines, policy development, and supervisory control testing.

  • Proven ability to manage complex projects and drive organizational change.

Special Factors

Sponsorship

Vanguard is not offering visa sponsorship for this position.

About Vanguard

At Vanguard, we don't just have a mission—we're on a mission.

To work for the long-term financial wellbeing of our clients. To lead through product and services that transform our clients' lives. To learn and develop our skills as individuals and as a team. From Malvern to Melbourne, our mission drives us forward and inspires us to be our best.

How We Work

Vanguard has implemented a hybrid working model for the majority of our crew members, designed to capture the benefits of enhanced flexibility while enabling in-person learning, collaboration, and connection. We believe our mission-driven and highly collaborative culture is a critical enabler to support long-term client outcomes and enrich the employee experience.

Vanguard Charlotte, North Carolina, USA Office

Two North Falls Plaza, Charlotte, NC, United States, 28217

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