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Senior Manager Controls and Oversight

RBC Capital Markets, LLC
401(k)
United States, Minnesota, Minneapolis
Jan 31, 2026

Job Description

What is the opportunity?

This position will be responsible to establish and execute controls and supervision for FINRA defined covered functions and contractional SLAs applicable to the department which may include additional regulators on top of FINRA. Incumbent will partner with compliance, Risk. Legal, business groups to design, develop, produce, consult, and execute on a variety of internal and external business and supervisory procedures and key controls. This position is responsible for the creation and execution of internal risk management, as well as collaborating with employees throughout Operations to drive risk mitigation strategies. The Incumbent must work effectively and collaboratively with multiple departments and stakeholders (internal and external) to achieve quality and timely delivery of solutions related to risk management. The incumbent's work once complete will give their reporting Director a risk health determination with a clear view of items requiring action and a scheduled process to evidence monthly supervisory expectations at a director level to meet regulatory and internal expectations. The incumbent will be responsible for executing risk related work introduced by and not limited to Products (new and legacy), new client onboarding, process ownership change, regulatory changes, and audits/testing action plans,

What will you do?

  • Draft, publish, and execute operational and business risk policies, WSPs, and procedures. Achieve by leveraging Compliance, WM Risk, and Legal advice and by applying trainings and company resources effectively.
  • Establish key requirements to validate controls are embedded into project management milestones and key success factors.
  • Support product reviews by describing processes done and covered functions that are supervised to support the product. Provide signoff which in turn allows Ops to approve or decline product offerings.
  • Validate and evidence RCSA, key controls and WSPs accurately represent functional area processes supported.
  • Execute changes as required by the WM Risk team's Regulatory Review and External event committee.
  • Act as a strategic business partner by identifying control and supervisory needs and in turn assist with developing, enhancing, and implementing effective compliance programs. This also includes any necessary revision of policies, procedures, and written supervisory procedures.
  • Participate in industry working groups to determine opportunities for implementing industry best practices specific to risk.
  • Provide training, coaching, and mentoring for department managers and other Operations resources, fostering teamwork and knowledge transfer.
  • Deliver training as required to validate efficient Operations' processing and successful initiative implementation.

What do you need to succeed?

Must-have

  • 4-year degree from an accredited university or equivalent OR High school diploma or equivalent AND 5+ years of securities, banking, technology, risk and/or job specific industry experience
  • 5+ years prior securities, banking, technology, risk and/or job specific related experience
  • Securities license 99 (or able to obtain license within 120 days)

Nice-to-have

  • Strong problem identification, analytical and resolution skills required to support issue resolution and/or oversight requirements associated with complex processes.
  • Strong Leadership, facilitation, negotiation, training, and mentoring skills
  • Ability to multi-task and prioritize and work independently under tight deadlines in a fast-paced environment.
  • Strong relationship management, change leadership and managerial skills dealing with all parts of platform and all levels of senior management.
  • Advanced knowledge related to business lines, business strategy, needs and technology.
  • Experience and knowledge of broker-dealer operations.
  • Successful track record and ability to influence and lead others to produce high quality results that meet business goals and team expectations.
  • Knowledge of SEC and FINRA regulations
  • Experience with reporting Operational Risk Events, Self Identified Issues, or Reportable Compliance Issues
  • 4-year degree from an accredited university in communications, marketing, business, or related field
  • 5+ years securities, leadership, change management, project management, analysis, and/or executive level communications/presentations experience.

What's in it for you?

We thrive on the challenge to be our best, progressive thinking to keep growing, and working together to deliver trusted advice to help our clients thrive and communities prosper. We care about each other, reaching our potential, making a difference to our communities, and achieving success that is mutual.

  • A comprehensive Total Rewards Program including bonuses and flexible benefits, competitive compensation, commissions, and stock where applicable
  • Leaders who support your development through coaching and managing opportunities
  • Ability to make a difference and lasting impact
  • Work in a dynamic, collaborative, progressive, and high-performing team
  • Opportunities to do challenging work
  • Opportunities to take on progressively greater accountabilities
  • Access to a variety of job opportunities across business

The good-faith expected salary range for the above position is $90,000 - $160, 000 depending on factors including but not limited to the candidate's experience, skills, registration status; market conditions; and business needs. This salary range does not include other elements of total compensation, including a discretionary bonus and benefits such as a 401(k) program with company-matching contributions; health, dental, vision, life and disability insurance; and paid time-off plan. RBC's compensation philosophy and principles recognize the importance of a highly qualified global workforce and plays a critical role in attracting, engaging and retaining talent that:

  • Drives RBC's high performance culture
  • Enables collective achievement of our strategic goals
  • Generates sustainable shareholder returns and above market shareholder value

Job Skills

Adaptability, Crisis Management, Decision Making, Delegating Tasks, Group Problem Solving, Interpersonal Relationship Management, Long Term Planning, Operational Delivery, Process Improvements, Time Management

Additional Job Details

Address:

250 NICOLLET MALL:MINNEAPOLIS

City:

Minneapolis

Country:

United States of America

Work hours/week:

40

Employment Type:

Full time

Platform:

WEALTH MANAGEMENT

Job Type:

Regular

Pay Type:

Salaried

Posted Date:

2026-01-30

Application Deadline:

2026-02-14

Note: Applications will be accepted until 11:59 PM on the day prior to the application deadline date above

Inclusion and Equal Opportunity Employment

At RBC, we believe an inclusive workplace that has diverse perspectives is core to our continued growth as one of the largest and most successful banks in the world. Maintaining a workplace where our employees feel supported to perform at their best, effectively collaborate, drive innovation, and grow professionally helps to bring our Purpose to life and create value for our clients and communities. RBC strives to deliver this through policies and programs intended to foster a workplace based on respect, belonging and opportunity for all.

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Expand your limits and create a new future together at RBC. Find out how we use our passion and drive to enhance the well-being of our clients and communities at jobs.rbc.com.

RBC is presently inviting candidates to apply for this existing vacancy. Applying to this posting allows you to express your interest in this current career opportunity at RBC. Qualified applicants may be contacted to review their resume in more detail.

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