Compliance Manager/Officer
Company: Ameriprise
Location: Charlotte
Posted on: February 15, 2026
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Job Description:
We are searching for a Compliance Manager/Officer within the
General Counsels Organization team, who is a hardworking
self-starter motivated by achieving and exceeding goals who will
support Advice and Wealth Management Compliance program for
Ameriprise Financial through performance of ongoing compliance
monitoring, oversight, and advisory activities. You will work in a
collaborative culture where you will interact with a diverse set of
business partners. Come and demonstrate your flexible, creative,
and detailed oriented skills. Are you ready to get started and
continue growing your career? Come apply today! The Compliance
Manager for Capital Markets and the Investment Research Group (IRG)
plays a critical leadership role in supporting the firm’s oversight
of complex investment products, evolving regulatory expectations,
and high impact business initiatives. This role provides
specialized compliance expertise across exchange traded products,
fixed income. structured products, and other sophisticated capital
markets activities, as well as the research initiatives of the
Firm. The individual in this role will: • Serve as a primary
compliance advisor to Capital Markets and IRG stakeholders,
applying deep knowledge of product structures, distribution
requirements, and associated regulatory frameworks. • Monitor and
interpret emerging regulatory developments, providing actionable
guidance to business partners and ensuring timely incorporation of
rule changes into policies, supervisory procedures, and operational
processes—consistent with Compliance’s mission to foster a culture
of integrity, mitigate risk, and partner closely with the business.
• Evaluate and escalate complex compliance issues, exercising sound
judgment in an environment where investment products, market
dynamics, and regulatory expectations continue to evolve. •
Collaborate with cross functional teams—including Legal, Product,
Operations, and other Compliance groups—to support reviews, new
product initiatives, regulatory exams, and strategic firmwide
projects • Enhance and maintain written supervisory procedures and
compliance manuals, supporting updates related to capital markets
activity, product requirements, and emerging risks. • Strengthen
the firm’s risk management posture by proactively identifying
trends, supporting monitoring activities, and ensuring controls
align with industry best practices and regulatory expectations.
This role demands a high performing professional who brings strong
critical thinking, technical product knowledge, and the ability to
translate regulatory complexity into clear, practical guidance. The
incoming Compliance Manager will build on the strong foundation
established and will help ensure the organization continues to
deliver disciplined, high quality compliance oversight in a rapidly
changing environment. Key Responsibilities • Conduct testing of
business functions for compliance with applicable laws and
regulations. • Assist, coordinate, and influence business partners
to ensure that adequate compliance policies and procedures are
developed and implemented. • Research applicable laws and
regulations, analyze their effect on business practices, and work
with Legal Department partners, as needed, to clarify requirements
and address related issues. Identify problem policies related to
the application of laws and regulations. • Maintain current
knowledge of industry practices and developments. Raise issues and
maintain records, as required or appropriate. • Serve as an expert
resource on assigned subjects for multiple lines of business and/or
larger scope, provide compliance support to assigned business
lines, and act as a key resource and “go to” person for business
partners. • Review internal and external business practices,
analyze data, and work with partners in covered business lines to
identify potential problems. Close recognized gaps and support
effective day-to-day compliance oversight. Required Qualifications
• Bachelors degree or equivalent (4-years) • 5-7 years of relevant
experience • Series 7 required • Series 24 required or ability to
obtain within 90-120 days • Strong knowledge of financial services
industry. • Knowledge of SEC, CFTC, State, and other regulatory
requirements for investment advisers, registered investment
companies, and broker/dealers. • Strong written and verbal
communication skills. • Facilitation skills. • Ability to prepare
and/or present material for senior leaders, with leader support. •
Intermediate-level skills in Microsoft Word, Excel, and PowerPoint
Preferred Qualifications • Experience in developing process
flows/diagrams. Working knowledge of Microsoft Visio. • Microsoft
Access skills and Power BI We’re a diversified financial services
leader with more than $1.5 trillion in assets under management,
administration and advisement as of 2024. With our team of more
than 20,000 people in 20 countries, we advise, manage and protect
assets and income of more than 3.5 million individual, small
business and institutional clients. We are a longstanding leader in
financial planning and advice, a global asset manager and an
insurer. Our unwavering focus on our clients and strong financial
foundation connects each of our unique businesses - Ameriprise
Financial, Columbia Threadneedle Investments and RiverSource
Insurance and Annuities. Here, we foster meaningful careers, invest
in the future, and make a difference for clients, institutions and
communities around the world.
Keywords: Ameriprise, Charlotte , Compliance Manager/Officer, Accounting, Auditing , Charlotte, North Carolina