Digital Regulatory Adviser Sr Technical Architect – GRC
Edward JonesAbout the role
Position Type
Home Office
Position Schedule
Full-Time
EEO Statement
Edward Jones does not discriminate on the basis of race, color, gender, religion, national origin, age, disability, sexual orientation, pregnancy, veteran status, genetic information or any other basis prohibited by applicable law.
Posting Location
Missouri, St. Louis
Company Description
Join a financial services firm where your contributions are valued. Edward Jones is a Fortune 500¹ company where people come first. With over 9 million clients and 20,000 financial advisors across the U.S. and Canada, we’re proud to be privately-owned, placing the focus on our clients rather than shareholder returns.
Behind everything we do is our purpose: We partner for positive impact to improve the lives of our clients and colleagues, and together, better our communities and society. We are an innovative, flexible, and inclusive organization that attracts, develops, and inspires performance excellence and a sense of belonging.
People are at the center of our partnership. Edward Jones associates are seen, heard, respected, and supported. This is what we believe makes us the best place to start or build your career.
View our Purpose, Inclusion and Citizenship Report.
¹Fortune 500, published June 2024, data as of December 2023. Compensation provided for using, not obtaining, the rating.
External Flexible Work Option(s)
Hybrid
Awards and Accolades
At Edward Jones, we are building a place where everyone feels like they belong. We're proud of our associates' contributions to the firm and the recognitions we have received.
Check out our U.S. awards and accolades: Insights & Information Blog Postings about Edward Jones
Check out our Canadian awards and accolades: Insights & Information Blog Postings about Edward Jones
Country
United States
Search Headquarters Positions by Area of Interest
Regulatory and Compliance, TECHNOLOGY
Position Requirements
What Experience You'll Need:
Experience
- 10+ years of experience in financial services risk management, regulatory compliance, or cybersecurity governance.
- Deep experience interpreting and applying regulations across banking and/or broker-dealer environments.
- Proven experience supporting regulatory exams and direct regulator engagement.
- Demonstrated ability to influence senior stakeholders and drive outcomes in a matrixed organization.
- Strong understanding of technology and cyber risk management practices.
- Strong understanding of control frameworks (e.g., NIST CSF, COBIT, ISO).
- Familiarity with regulatory expectations (e.g., FFIEC, SEC, FINRA, FDIC, NYDFS).
- Ability to translate regulatory language into practical control and architecture implications.
- Familiarity with control testing, evidence requirements, and audit expectations.
- Executive presence with the ability to communicate complex regulatory topics clearly and concisely.
- Strong judgment and ability to provide defensible regulatory positions.
- Ability to operate as a department-level leader without direct reports, driving alignment across multiple teams.
- Exceptional written and verbal communication skills, including board- and regulator-facing materials.
What Could Set You Apart:
- Experience in a large, complex financial institution with both bank and broker-dealer operations.
- Prior experience in a regulatory agency, consulting firm, or internal regulatory advisory function.
- Experience establishing or maturing regulatory change management programs.
- Advanced degree or relevant certifications (e.g., CISSP, CISM, CRISC).
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