The Senior Compliance Specialist is responsible for supporting and enhancing the firms compliance framework and control environment. This role works closely with business units, senior management, and compliance committees to ensure adherence to regulatory requirements, effective risk management, and operational integrity. The position requires advanced knowledge of financial services compliance, strong analytical capabilities, and the ability to independently manage complex compliance and operational initiatives.
Ensign Peak Advisors is an affiliated organization of The Church of Jesus Christ of Latter-day Saints. In support of the Churchs global mission, Ensign Peak Advisors manages the financial reserves of the Church and provides cash management services to fund Church operations.
Church employees find joy and satisfaction in using their unique talents and abilities to further the Lords work. From the IT professional who develops an app that sends the gospel message worldwide, to the facilities manager who maintains our buildings giving Church members places to worship, teach, learn, and receive sacred ordinancesour employees seek innovative ways to share the gospel of Jesus Christ with the world. They are literally working in His kingdom.
Only members of the Church who are worthy of a temple recommend qualify for employment. Apart from this, the Church is an equal opportunity employer and does not discriminate in its employment decisions on any basis that would violate U.S. or local law.
Qualified applicants will be considered for employment without regard to race, national origin, color, gender, pregnancy, marital status, age, disability, genetic information, veteran status, or other legally protected categories that apply to the Church. The Church will make reasonable accommodations for qualified individuals with known disabilities.
Bachelors degree in accounting, finance, economics, or a related field
Strong understanding of financial markets, investment operations, and applicable regulatory requirements
Demonstrated ability to work independently, exercise sound judgment, and appropriately escalate issues
Strong communication, organizational, and project management skills
Ability to analyze complex business processes and associated technology controls
Experience
Preferred Qualifications
Advanced degree (e.g., MBA, JD, MPA)
Relevant professional certifications such as CPA (Certified Public Accountant), CFA (Chartered Financial Analyst), CRCM (Certified Regulatory Compliance Manager), FRM (Financial Risk Manager)
Enhance and strengthen compliance programs, processes, and control frameworks, including identifying and implementing automation opportunities
Lead the execution of compliance testing, monitoring, and training programs
Monitor adherence to regulatory and internal compliance obligations, including portfolio and transactional compliance
Serve as a subject matter expert in document retention policies and procedures, information barriers, and portfolio and transactional compliance
Partner with internal stakeholders to collect, maintain, and safeguard key documentation and records
Identify risks, evaluate control effectiveness, and recommend enhancements to management and compliance committees
Develop and maintain a deep understanding of business functions, operational processes, and supporting technology systems
Prepare and deliver clear, accurate, and timely reports and presentations to senior stakeholders
Collaborate across business units to support compliance initiatives and operational improvements
Stay current on regulatory developments and industry best practices through ongoing training and professional engagement
Be responsible for preparing and analyzing reporting to external regulatory agencies (TIC, SEC, BEA, CFTC etc.)
Enhance and strengthen compliance programs, processes, and control frameworks, including identifying and implementing automation opportunities
Lead the execution of compliance testing, monitoring, and training programs
Monitor adherence to regulatory and internal compliance obligations, including portfolio and transactional compliance
Serve as a subject matter expert in document retention policies and procedures, information barriers, and portfolio and transactional compliance
Partner with internal stakeholders to collect, maintain, and safeguard key documentation and records
Identify risks, evaluate control effectiveness, and recommend enhancements to management and compliance committees
Develop and maintain a deep understanding of business functions, operational processes, and supporting technology systems
Prepare and deliver clear, accurate, and timely reports and presentations to senior stakeholders
Collaborate across business units to support compliance initiatives and operational improvements
Stay current on regulatory developments and industry best practices through ongoing training and professional engagement
Be responsible for preparing and analyzing reporting to external regulatory agencies (TIC, SEC, BEA, CFTC etc.)