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<channel xmlns:php="http://php.net/xsl"><title>Complinet | Recruitment | Job</title><link/><description>Complinet | Recruitment | Job</description><item><title>Director of Compliance</title><link>http://www.complinet.com/recruitmentjobs/job/details/id/11608</link><description>Salary commensurate to experience. 
		
		| Location: Texas |
		Sector: Compliance &amp; Regulation |
		Published: March 4th 2010 |
		
		&lt;p&gt; &lt;/p&gt;
&lt;p&gt;SWS Group (NYSE-SWS) is a Dallas-based, full-service securities and banking firm that delivers a broad range of investment and related financial services through its subsidiaries: Southwest Securities, Inc., Southwest Securities, FSB, and SWS Financial Services, Inc.  Clients of the company include individual and institutional investors, broker/dealers, corporations, governmental entities and financial intermediaries. The company's common stock is listed and traded on the New York Stock Exchange under the symbol SWS.&lt;/p&gt;
&lt;p&gt;The Director of Compliance&lt;span style=&quot;mso-bidi-font-weight: bold;&quot;&gt; is responsible for developing and monitoring the firm&amp;rsquo;s overall compliance process to ensure that the firm&amp;rsquo;s practices are in alignment with the company&amp;rsquo;s policies and meet the guidelines of various legal and regulatory agencies (&lt;/span&gt;FINRA, NYSE, SEC) as well as federal and state requirements.&lt;span style=&quot;mso-spacerun: yes;&quot;&gt;  &lt;/span&gt;This position fulfills the regulatory responsibilities of the Chief Compliance Officer for the company and all licensed broker dealer affiliates.&lt;/p&gt;
&lt;p&gt;&lt;strong&gt;Essential Duties and Responsibilities:&lt;/strong&gt;&lt;/p&gt;
&lt;ul&gt;
&lt;li&gt;Directs and oversees the compliance staff in reviewing/monitoring requirements and compliance with FINRA, SIPC, SEC and NYSE rules and regulations.&lt;/li&gt;
&lt;li&gt;Works closely with senior management to analyze current industry trends, internal developments and compliance issues to determine the scope of department activities and to develop new programs as needed. &lt;/li&gt;
&lt;li&gt;Actively participates in the identification, management and resolution of complex compliance issues and develops appropriate business solutions.&lt;/li&gt;
&lt;li&gt;Advises business lines on all compliance matters and assists in the resolution of problems/issues.&lt;/li&gt;
&lt;li&gt;Conducts periodic reviews of various business units with regard to adherence to firm policy and procedures as well as compliance with applicable regulatory requirements and laws.&lt;/li&gt;
&lt;li&gt;Coordinates continuing education requirements with the training department.&lt;/li&gt;
&lt;li&gt;Liaise and coordinate regulatory, internal and external examinations and reviews and collaborates with FINOP during FINOP examinations.&lt;/li&gt;
&lt;li&gt;Directs the activities and develops the effectiveness of the Compliance staff through effective talent management practices.&lt;/li&gt;
&lt;li&gt;Manages and delivers annual compliance risk assessment to the firm&amp;rsquo;s leadership and Board of Directors. &lt;/li&gt;
&lt;li&gt;Conducts and manages regulatory and compliance due diligence with respect to the firm&amp;rsquo;s acquisition activities.&lt;/li&gt;
&lt;li&gt;Provides assistance to the legal function in compliance related matters.&lt;/li&gt;
&lt;/ul&gt;
&lt;p&gt;&lt;strong&gt;Qualifications/Requirements:&lt;/strong&gt;&lt;/p&gt;
&lt;p&gt;&lt;strong&gt;Experience:&lt;/strong&gt;&lt;/p&gt;
&lt;ul&gt;
&lt;li&gt;Minimum 4 years management experience.&lt;/li&gt;
&lt;li&gt;Candidate must possess strong analytical, written, verbal, listening and influencing skills.&lt;/li&gt;
&lt;li&gt;Demonstrated leadership, problem-solving abilities and strong attention to detail.&lt;/li&gt;
&lt;li&gt;Detailed knowledge of securities regulation and applicable laws.&lt;/li&gt;
&lt;li&gt;Demonstrated history of high ethical standards including discretion in dealing with confidential and financial information.&lt;/li&gt;
&lt;li&gt;Proven ability to effectively counsel senior management and outside constituents.&lt;/li&gt;
&lt;li&gt;Confirmed talent management experience, with ability to develop and retain staff.&lt;/li&gt;
&lt;li&gt;Ability to excel in a fast-paced, changing environment.&lt;/li&gt;
&lt;/ul&gt;
&lt;p&gt;&lt;strong&gt;Education:&lt;/strong&gt; BS/BA and 10-15 years experience in a senior compliance position within a securities-related environment, or equivalent combination of education and experience; JD desired.&lt;/p&gt;
&lt;p&gt;&lt;strong&gt;Licenses/Registrations/Certifications:  &lt;/strong&gt;Series 7, 24, 9, 10, 14&lt;/p&gt;
&lt;p&gt;&lt;strong&gt;Additional Qualifications:&lt;/strong&gt;&lt;span style=&quot;mso-spacerun: yes;&quot;&gt;  &lt;/span&gt;Minimal travel required&lt;/p&gt;
&lt;p&gt;&lt;strong&gt;SWS Group, Inc is a Equal Opportunity Employer.  To apply for this position, visit our career opportunities page at www.swsgroupinc.com&lt;/strong&gt;&lt;/p&gt;</description></item></channel>

