Texas Capital is built to help businesses and their leaders. Our depth of knowledge and expertise allows us to bring the best of the big firms at a scale that works for our clients, with highly experienced bankers who truly invest in people's success - today and tomorrow.
While we are rooted in core financial products, we are differentiated by our approach. Our bankers are seasoned financial experts who possess deep experience across a multitude of industries. Equally important, they bring commitment - investing the time and resources to understand our clients' immediate needs, identify market opportunities and meet long-term objectives. At Texas Capital, we do more than build business success. We build long-lasting relationships.
Texas Capital provides a variety of benefits to colleagues, including health insurance coverage, wellness program, fertility and family building aids, life and disability insurance, retirement savings plans with a generous 401K match, paid leave programs, paid holidays, and paid time off (PTO).
Headquartered in Dallas with offices in Austin, Fort Worth, Houston, Richardson, Plano and San Antonio, Texas Capital was recently named Best Regional Bank in 2024 by Bankrate and was named to The Dallas Morning News' Dallas-Fort Worth metroplex Top Workplaces 2023 and GoBankingRate's 2023 list of Best Regional Banks. For more information about joining our team, please visit us at www.texascapitalbank.com.
Brief Overview of Position
Reporting to Chief Compliance Officer for TCBI Securities, Inc., the Compliance Officer serves as a senior strategic leader within the Investment Bank's compliance function. We are seeking a highly experienced compliance professional who will operate with broad authority and autonomy across all investment banking business divisions and risk categories.
The Compliance Officer acts as an independent, second line of defense (2LOD) compliance partner and is responsible for designing, developing, delivering and maintaining the firm's overall compliance program. This includes the design and implementation of policies, procedures, monitoring controls, testing frameworks and remediation protocols across all business divisions and operational functions.
Success in this role requires strategic thinking, regulatory acumen, demonstrated leadership ability and the capacity to operate independently while collaborating effectively across the organization. This individual will be expected to represent the firm to regulators, make independent business decisions regarding compliance exceptions and escalations, and establish the firm's compliance culture and tone.
Responsibilities
Qualifications
Bachelor's degree (preferred in Finance, Accounting, Business, or Analytics, Computer Science); or equivalent combination of education, training, experience
Minimum 7 years of progressive compliance experience within a broker/dealer operating as an affiliate, subsidiary or division of a bank and/or Registered Investment Advisor.
Deep, demonstrated knowledge of SEC and FINRA regulations, supervisory requirements and examination standards. Proven experience implementing policies, controls and procedures in response to regulatory rules and expectations.
Significant experience with equity and/or derivatives trading surveillance, market abuse/manipulation detection, trade reporting and regulatory inquiry response. Familiarity with surveillance tools and forensic analysis of trading data.
Specific experience with compliance challenges in FX, swaps, options and other OTC derivatives, including Dodd-Frank compliance, position management and regulatory reporting.
Experience responding to SEC and/or FINRA examinations, managing exam findings, preparing Corrective Action Plans and representing the firm to regulators. Prior FINRA examination experience (as compliance professional or as examiner) is a strong plus.
Required: Series 24, 7, and 63. Preferred additional: Series 3, 7, 57, and 53. Juris Doctor (JD) with securities law specialization a plus. Position is full-time, on premises at the firm's Dallas, Texas headquarters.
Specific knowledge of risk management frameworks and corporate governance
Expert ability to analyze risk concentration areas, risk profiles, and risk data to comprehensively assess risk
Expert formal business writing skills to create procedures, manuals, and management reports
Advanced ability to interact, negotiate and influence at all levels throughout the organization
Strong attention to detail in a deadline-focused environment
Advanced analytical, critical thinking and problem-solving skills
Ability to identify potential risks and raise to appropriate levels
Ability to maintain confidentiality and instill trust within the organization
Advanced knowledge of financial rules and regulations
Ability to self-direct and manage competing priorities on concurrent large, complex projects, initiatives and
deliverables
The duties listed above are the essential functions, or fundamental duties within the job classification. The essential functions of individual positions within the classification may differ. Texas Capital Bank may assign reasonably related additional duties to individual employees consistent with standard departmental policy.Texas Capital is an Equal Opportunity Employer.