Senior Compliance Director – Regulatory Engagement & Policy Governance
VanguardAbout the role
Provides enterprise-wide strategic leadership for Vanguard’s regulatory engagement program and Compliance Policy Governance Framework. Establishes program standards, governance, and oversight for regulator interactions and exam management to ensure consistent, timely, and well-controlled communications, documentation, and outcomes. Owns the operating model and data discipline for logging and tracking regulatory interactions in the designated system of record (e.g., Dynamics), including controls, data quality standards, and management reporting. Leads the design and continuous enhancement of a controlled, risk-based, and auditable policy governance framework (taxonomy, ownership, approvals, and lifecycle expectations), supported by the designated system of record (e.g., Archer). Partners with the Global Head of Enterprise Compliance & Governance and key stakeholders to monitor evolving regulatory requirements, translate obligations into clear policy expectations, and deliver transparent, executive-ready materials and reporting for senior leaders and governance forums.
Core Responsibilities:
Builds and leads a team responsible for regulatory engagement execution and compliance policy governance. Hires, coaches, and develops crew; sets performance expectations; provides timely feedback; and makes compensation decisions in alignment with Human Resources policies and procedures.
Sets the strategy and operating model for Vanguard’s regulatory engagement program, including governance, controls, and routines to manage regulatory inquiries, exams, and ongoing supervisory interactions.
Directs execution of regulatory engagements from intake through close-out (scoping, request management, internal reviews/approvals, submissions, meeting preparation, and documentation/evidence retention), applying escalation and decision protocols as needed.
Partners with Legal, Government Public Policy, Risk, and business leaders to align messaging and ensure appropriate governance over regulator meetings, commitments, and follow-ups.
Coordinates regulatory findings and recommendations and related corrective action plans by establishing ownership, timelines, and evidence standards; monitoring progress to closure; and escalating delays or risk acceptance decisions through appropriate governance forums.
Owns the regulatory engagement system of record (e.g., Dynamics) used to log and track regulator interactions, including user/process governance, required data standards, workflow controls, and auditability. Establishes and maintains dashboards and reporting to provide transparency into engagement volumes, response timeliness, open items/commitments, themes, and emerging risks for senior leaders and governance forums.
Leads the development and continuous improvement of the Compliance Policy Governance Framework, including policy taxonomy and definitions, required document standards and templates, roles and accountabilities and lifecycle requirements (draft, review, approve, publish, communicate, train, and refresh). Ensures the policy inventory is accurate and maintained in the designated system of record (e.g., Archer), with disciplined version control and audit trail.
Drives enterprise adoption of the Compliance Policy Governance Framework by partnering with policy owners to execute policy drafting and refresh cycles, required communications and training, and consistent implementation. Establishes and oversees governance for material vs. non‑material changes, waivers/exceptions, and documentation requirements.
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