Director, Brokerage Risk Management
Company: Fidelity Investments
Location: Jersey City
Posted on: March 10, 2025
Job Description:
Job Description:Director, Brokerage RiskThe Brokerage Risk team
advises Fidelity's dynamic individual investor businesses building
lifetime relationships with self-directed clients and helping them
save and invest. You will report to the Vice President of Brokerage
Services and Operations (BSO), within the Brokerage Risk team and
be responsible for leading critical components of our risk
governance program including advisory, risk and readiness
assessments, incident and issue management, and risk governance.
The Brokerage Risk team covers a wide array of brokerage services
including trading and margin, core brokerage operations, fraud
protection, and model risk. Products include securities, fixed
income, options, alternative investment funds, and digital assets.
The Director is a key advisory member for digital and
transformative initiatives driving new products and services
delivery for BSO.The Expectations for this Role
- Advise senior leadership on top operational risk focus areas
and risk mitigation strategies, based on trends, incidents, and
insights from business and LRC partners.
- Lead proactive risk and readiness assessments in alignment with
business top risks, in collaboration with other
second-line-of-defense leaders and functions to optimize
cross-functional effectiveness. Deliver assessment report to senior
leadership, ensure appropriate issue classification, ownership, and
remediation tracking.
- Drive risk evaluation and advisory support to stakeholders for
key business initiatives and new products/services. Proactively
identify, assess, and monitor key risks, controls, and remediation
action plans. Participate in product review working groups.
- Develop and track business unit key risk indicators and metrics
to monitor operational risk profiles
- Prepare executive risk governance meeting materials (e.g., risk
committees) and key reporting
- Partner closely with organizational stakeholders across
Brokerage, Wealth, Workplace Investing and Fidelity Institutional
to drive risk outcomes and identify emerging risks and
opportunities.
- Investigate and escalate incidents timely, determine root
cause, and advise on corrective actions
- Oversee Brokerage issue and action plan management to ensure
compliance with enterprise risk requirements utilizing the Archer
tool.
- Respond to all escalations with a solution-focus for
opportunities to resolve and remediate, influence policy
change.
- Build effective working relationships with business leaders and
cross-functional partnersThe Expertise and Skills You Bring
- Bachelor's degree (required)
- 10-15+ years of risk, compliance, legal, or audit experience at
complex financial services institutions, e.g., brokerage, asset
managers, banks, or regulatory agencies (required)
- Experience independently delivering on the expectations for
this role (required)
- Experience with brokerage products and services, brokerage
operations, or client service operations - including familiarity
with regulatory requirements (required)
- Ability to deliver engaging and persuasive presentations and
reporting (required)
- Exceptional judgment and analytical skills - you will need to
excel at quickly analyzing complex risk and business issues in a
variety of substantive areas (required)
- Experience with Archer GRC (preferred)
- FINRA license (e.g., Series 7), Master's, or advanced degree
with strong academic credentials (preferred)Behavioral Attributes
- Exhibits executive presence and effectively persuades and
influences senior leaders
- Supports the development of, and inspires high-performing
teams
- Energetic and professional with a collaborative mindset to find
effective solutions
- Demonstrates exceptional attention to detail and communications
skills
- Drives outcomes in a fast-paced, distributed, and complex
environment
- Builds and maintains effective working relationships across
businesses and support functions
- Balances pace over perfection
- Displays a drive for improvement of current processes and
workflowsThe TeamBrokerage Risk supports the retail arm of Fidelity
Investments focused on enabling self-directed customers to achieve
their financial goals. You would be joining a dedicated and
collaborative team of risk professionals who partner directly with
business leaders and cross-functional partners to ensure
comprehensive risk management throughout the brokerage businesses -
from the frontline to executive leadership. As part of this team,
you will help deliver risk advisory, assessment, and issue/incident
management support that directly impacts more than 18 million
self-directed investors.The base salary range for this position is
$100,000-$169,000 per year. Placement in the range will vary based
on job responsibilities and scope, geographic location, candidate's
relevant experience, and other factors.Base salary is only part of
the total compensation package. Depending on the position and
eligibility requirements, the offer package may also include bonus
or other variable compensation. We offer a wide range of to meet
your evolving needs and help you live your best life at work and at
home. These benefits include comprehensive health care coverage and
emotional well-being support, market-leading retirement, generous
paid time off and parental leave, charitable giving employee match
program, and educational assistance including student loan
repayment, tuition reimbursement, and learning resources to develop
your career. Note, the application window closes when the position
is filled or unposted.Please be advised that Fidelity's business is
governed by the provisions of the Securities Exchange Act of 1934,
the Investment Advisers Act of 1940, the Investment Company Act of
1940, ERISA, numerous state laws governing securities, investment
and retirement-related financial activities and the rules and
regulations of numerous self-regulatory organizations, including
FINRA, among others. Those laws and regulations may restrict
Fidelity from hiring and/or associating with individuals with
certain Criminal Histories.Fidelity's hybrid working model blends
the best of both onsite and offsite work experiences. Working
onsite is important for our business strategy and our culture. We
also value the benefits that working offsite offers associates.
Most hybrid roles require associates to work onsite every other
week (all business days, M-F) in a Fidelity
office.Certifications:Category:Risk
We welcome those with experience in jobs such as Controller,
Accounting Manager, and Home Buyer s Consultant and others in the
Accounting and Finance to apply.
Keywords: Fidelity Investments, Jersey City , Director, Brokerage Risk Management, Executive , Jersey City, New Jersey
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