Senior Director Personal Trading & Compliance
EmpowerAbout the role
Our vision for the future is based on the idea that transforming financial lives starts by giving our people the freedom to transform their own. We have a flexible work environment, and fluid career paths. We not only encourage but celebrate internal mobility. We also recognize the importance of purpose, well-being, and work-life balance. Within Empower and our communities, we work hard to create a welcoming and inclusive environment, and our associates dedicate thousands of hours to volunteering for causes that matter most to them.
Chart your own path and grow your career while helping more customers achieve financial freedom. Empower Yourself.
As a Senior Director, Personal Trading & Compliance, you will lead Empower's Personal Trading and Code of Ethics program across Empower Capital Management, Empower Advisory Group, Empower Funds, and Empower Financial Services. You'll serve as a senior leader within Compliance, helping shape a scalable, risk-based compliance program that supports our investment advisers, registered funds, separate accounts, and broker-dealer businesses. Working closely with business leaders, Legal, Risk, and executive leadership, you'll strengthen our compliance framework while helping the business navigate an evolving regulatory environment.
What you will do
Lead the firm's Personal Trading and Code of Ethics program, including pre-clearance, employee trading reviews, restricted list oversight, certifications, and disclosures
Serve as deputy to the VP, Compliance and Chief Compliance Officer for designated governance, regulatory, and business initiatives
Direct enterprise compliance risk assessments, annual compliance reviews, monitoring, testing, issue management, and governance reporting
Design and enhance a risk assessment framework that supports targeted monitoring, testing, and remediation activities
Manage, coach, and develop a team of compliance professionals while fostering a culture of accountability, collaboration, and continuous improvement
Partner with business leaders and control functions to provide guidance on regulatory requirements, conflicts of interest, fiduciary obligations, and supervisory expectations
Lead regulatory examinations, internal audits, and annual reviews, coordinating responses and remediation efforts
Present compliance reporting, trends, and recommendations to senior leadership, governance committees, and boards
Monitor regulatory developments and implement enhancements to policies, procedures, controls, and compliance programs
Sponsor technology, automation, analytics, and AI-enabled compliance capabilities that strengthen surveillance, reporting, and operational effectiveness
What you will bring
Bachelor's degree or equivalent experience required; Juris Doctor preferred
10+ years of progressive compliance experience supporting investment advisers, registered funds, asset management, or broker-dealer businesses
5+ years of people leadership experience, including coaching, performance management, and team development
Deep knowledge of the Investment Advisers Act of 1940, Investment Company Act of 1940, Securities Exchange Act of 1934, FINRA rules, and related regulatory expectations
Experience leading personal trading, Code of Ethics, monitoring, testing, risk assessments, and compliance program oversight
Strong communication skills with the ability to influence senior leaders and present complex topics clearly
Experience partnering with regulators, auditors, and governance committees during examinations and reviews
FINRA Series 65 or 66 required
FINRA fingerprinting required
High ethical standards, sound judgment, and the ability to manage confidential information with discretion
What will set you apart
Juris Doctor or other advanced degree
Experience modernizing compliance programs through technology, analytics, automation, or AI-enabled monitoring
Knowledge of compliance governance across registered investment advisers, registered funds, separate accounts, and broker-dealers
Experience developing compliance metrics, key risk indicators, and executive reporting
Demonstrated success designing s
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