Westlake - TX, TX2050R, 2050 Roanoke Road, 76262-9616
We believe that, when done right, investing liberates people to create their own destiny. We are driven by our purpose to champion every client’s goals with passion and integrity. We respect and appreciate the diversity of our employees, our clients, and the communities we serve. We challenge conventions strategically to create value for our clients, our firm and the world. We live and bring to life the concept of ‘own your tomorrow’ every day. We champion our employee strengths, guide their development, and invest in their long-term success. We hire optimistic, results-oriented, curious, innovative, and adaptable people with the desire to help our clients and one another succeed.
As a company, we were established by Chuck over 40 years ago to champion Main Street over Wall Street, and to help Americans transform themselves from earners to owners. Through advocacy and innovation, we work to make investing more affordable, accessible and understandable for all. As we enter our fifth decade, we are looking for talented, innovative and driven people who believe they can help themselves, and our clients, create a better future.
The position is within the Anti Money Laundering (AML) Compliance Department, part of the Financial Crimes Investigations (FCI) organization. The organization assists in the assessment of AML risk presented to our business and the affirmative commitment to comply with laws and regulations governing money laundering activities, those identified under OFAC, as well as other financial crimes. A key objective of the organization is our ongoing commitment to the corporation’s abilities to meet regulatory obligations. Responsibilities of FCI extend beyond the AML program and include the Corporation’s Anti-Bribery and Identity Theft Program, Internal Investigations, and the safeguarding of customer and corporate assets against Fraud.
We are currently seeking a Senior Team Manager who can motivate, inspire and develop a diverse team, responsible for analyzing and resolving account monitoring alerts generated by our alert monitoring system. The leader will manage a multi-faceted team that reviews time sensitive alerts on high risk clients and transaction based scenarios. The successful candidate will also develop partnerships with internal and external business partners for Charles Schwab & Co. and Charles Schwab Bank. The AML Compliance Sr. Team Manager will help to build out our Colorado AML presence in close partnership with our teams in Denver, San Francisco, and Chicago.
What you’ll do:
Creating a work environment that promotes employee engagement by setting clear expectations and consistently providing information, resources, feedback, coaching and recognition that helps employees maintain a high level of performance.
Ensuring service level agreements are met and maintaining a balance between quality and efficiency;
Creating, maintaining and updating department policies, procedures, and risk assessments;
Understanding of industry regulations in order to ensure team compliance with firm’s policies and procedures;
Driving business results by acting as a subject matter expert, fostering an environment that creates process efficiencies, leading project initiatives, and ensuring the implementation of projects within the department;
Identifying and selecting talent for the AML Compliance Department.
The Senior Team Manager will report into our Managing Director of AML Monitoring and Investigations, and manage a team of AML Compliance Specialists.
What you have:
This is a fast paced, detail-oriented, high volume, and deadline-driven environment requiring the ability to build and foster relationships across the firm in order to be successful. In addition to a background in AML Compliance/Brokerage/Banking Operations, the ideal candidate should possess experience effectively managing people at different stages in their career and professional development.
At least 3 years of experience managing teams including complete ownership of development and performance evaluations (annual reviews).
At least 3 years of direct experience with AML Compliance regulations and laws.
Strong working knowledge of broker-dealer businesses, NASD/FINRA rules, federal securities regulations, and securities industry practices.
Strong organizational skills with ability to work on multiple assignments and complete them within established deadlines.
Ability to prioritize effectively in a fast paced environment and function in a professional manner under pressure.
Ability to plan, delegate and oversee the overall work assignments and special projects within the team.
Ability to generate metrics, analyze data and communicate results to management.
Proficient PC skills including various platforms and applications.
The following additional qualifications are preferred:
CAMS, Series 7, 9/10, 63, 24
Proven ability to identify and solve complex issues in a team environment working with various levels of management and business partners.
Positive attitude, enthusiasm, professionalism and strong work ethic with high level of integrity and ethics.
Excellent communication, problem solving, and presentation skills to influence and build consensus among team members and leadership
Bachelor’s degree preferred or equivalent business experience.
What you’ll get:
Comprehensive Compensation and Benefits package
Financial Health: 401k Match, Employee Stock Purchase Plan, Employee Discounts, Personalized advice, Brokerage discounts
Work/Life Balance: Sabbatical, Paid Parental Leave, New Mothers returning to work Program, Tuition Reimbursement Programs, Time off to volunteer, Employee Matching Gifts Program
Everyday Wellness: Health and Lifestyle Wellness Rewards, Onsite Fitness Classes, Healthy Food Choices, Wellness Champions
Inclusion: Employee Resource Groups, Commitment to diversity, Strategic partnerships
Not just a job, but a career, with an opportunity to do the best work of your life
Learn more about Life@Schwab.
Charles Schwab & Co., Inc. is an equal opportunity and affirmative action employer committed to diversifying its workforce. It is Schwab's policy to provide equal employment opportunities to all employees and applicants without regard to race, color, religion, sex (including pregnancy, childbirth, breastfeeding, or related medical conditions), gender identity or expression, national origin, ancestry, age, disability, legally protected medical condition, genetic information, marital status, sexual orientation, protected veteran status, military status, citizenship status or any other status that is protected by law. Schwab also does not discriminate against applicants or employees because they have inquired about, discussed, or disclosed their own pay or the pay of another employee or applicant. At Schwab, we believe that every employee, through their diverse abilities and experiences, can contribute to our growth, innovation and client loyalty. We embrace diversity and are committed to providing equal opportunity to all employees and applicants. If you have a disability, and require reasonable accommodations in the application process, call Human Resources at 800-725-3535. We will be happy to assist you. Schwab will only share your accommodation request with those individuals who have a specific need to know. The request for an accommodation will not affect Schwab's hiring decisions. All other submissions should be performed online.
Relocation Offered?: No
Work Schedule: Days
Languages: English - spoken
Current Licenses / Certifications: FINRA Series 24, FINRA Series 63, Certified Fraud Examiner - CFE, FINRA Series 10, FINRA Series 7, FINRA Series 9
Relevant Work Experience: Compliance
Position Located In: TX - Westlake
Job Type: Full Time
Activation Date: Monday, February 26, 2018
Expiration Date: Saturday, July 21, 2018