Regulatory Program Owner, Cash App Investing
Own broker-dealer compliance programs for Cash App Investing, including communications reviews, registered person oversight, governance, and regulatory exam support. Requires 5+ years broker-dealer compliance experience and active or obtainable FINRA Series 7/24/63.
About the job
You Will
- Own broker-dealer communications reviews, including pre-approval of retail communications under FINRA Rule 2210 and supervision of internal communications.
- Own certain registered person oversight responsibilities, including employee supervision.
- Provide compliance coverage across many other areas within a cross-functional coverage model.
- Support compliance advisory for product and business priorities.
- Contribute to governance activities including board reporting, policy maintenance, and compliance program documentation.
- Assist with regulatory examination and inquiry responses, including document production and narrative drafting.
- Use AI tools as a core part of daily execution, and also identify opportunities to automate and improve compliance processes, contributing to the team’s migration to an AI-first operating model.
You Have
- 5+ years of experience in broker-dealer compliance, regulatory operations, or a related supervisory function at a FINRA-registered firm.
- Active FINRA Series 7 and Series 24 and Series 63 registrations (preferred), or ability to obtain within 120 days of hire.
- Demonstrated proficiency with AI tools—you actively use generative AI in your daily work to draft, analyze, review, and automate tasks, and can articulate how you evaluate AI outputs for accuracy and risk.
- Direct experience with communications supervision (FINRA Rules 2210, 3110), including keyword-based and sample review programs.
- Familiarity with Smarsh or comparable communications surveillance platforms.
- Experience supporting or responding to FINRA or SEC examinations.
- Excellent written communication skills—you can draft regulatory responses, compliance memos, and governance artifacts that are clear, precise, and examination-ready.
- Comfort operating in a fast-paced environment where you are expected to own outcomes across multiple workstreams.
- Intellectual curiosity and a bias toward experimentation—you stay current with evolving AI tools and look for ways to apply them to compliance challenges.
Skills
Finra Rule 2210, Finra Rule 3110, Smarsh, Series 7, Series 24, Series 63, Broker-Dealer Compliance, Regulatory Examinations, AI Tools, Communications Supervision
Similar jobs
Legal jobsOwn day-to-day privacy operations and cross-functional compliance initiatives for a health technology company. The role requires 4–7 years of privacy or compliance experience, knowledge of HIPAA and state privacy laws, and expertise in assessments, incident response, and data subject requests.
Supports the compliance program for a retail forex brokerage by monitoring CFTC and NFA requirements, advising on products, overseeing AML/KYC processes, and coordinating regulatory examinations. Requires a bachelor’s degree and at least five years of relevant financial-services compliance experience.
Leads a high-volume California court filing team, overseeing quality, SLAs, coaching, audits, escalations, hiring, and process improvement. The role requires deep county-level filing expertise, extensive leadership experience, and hands-on familiarity with major eFiling platforms.
Manages day-to-day legal operations across intake, contract lifecycle systems, signatures, documentation, entity maintenance, compliance support, and vendor coordination. The role requires 4–8 years of operational experience, strong process-building skills, and familiarity with legal technology such as DocuSign, Ironclad, and Jira.
Own Legal Tracker and the operational systems supporting an in-house legal function, including matter management, e-billing, invoice compliance, accruals, and outside counsel spend control. Requires 5+ years of legal operations or legal finance experience and strong Legal Tracker expertise.