
10,000+ employees
đ¸ Finance
đł Fintech
đĽ B2C
Finance ⢠Fintech ⢠B2C
Empower is a leading provider of financial services focused on helping individuals and organizations achieve financial freedom through retirement planning and investment management. Serving over 19 million Americans, Empower offers a comprehensive suite of finance-related services, including smart planning and investment advice, and tools like the Empower Personal Dashboard⢠for a complete financial view. The company is renowned as a top retirement plan provider and works closely with personal investors, workplace plan savers, plan sponsors, and financial professionals. Empower is also recognized for initiatives in Diversity, Equity, Inclusion, and has a social commitment that bolsters community impact.
đ August 24
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10,000+ employees
đ¸ Finance
đł Fintech
đĽ B2C
Finance ⢠Fintech ⢠B2C
Empower is a leading provider of financial services focused on helping individuals and organizations achieve financial freedom through retirement planning and investment management. Serving over 19 million Americans, Empower offers a comprehensive suite of finance-related services, including smart planning and investment advice, and tools like the Empower Personal Dashboard⢠for a complete financial view. The company is renowned as a top retirement plan provider and works closely with personal investors, workplace plan savers, plan sponsors, and financial professionals. Empower is also recognized for initiatives in Diversity, Equity, Inclusion, and has a social commitment that bolsters community impact.
⢠Review and approve complex public, retail, institutional, and internal communications for compliance with FINRA, SEC, state securities, insurance regulations, and company policies ⢠Interpret FINRA and SEC regulations, regulatory guidance, comment letters, and related materials ⢠File applicable communications materials with FINRA and maintain advertising and communications records ⢠Respond to internal business partner inquiries about communications compliance requirements and review processes ⢠Respond to FINRA Advertising Regulation inquiries and assist with regulatory examinations, requests, and inquiries ⢠Develop and maintain subject matter expertise in communications regulations, securities and insurance products, and company compliance policies ⢠Assist with maintaining and updating compliance policies based on regulatory and business changes ⢠Create, maintain, and test procedures and controls related to communications compliance reviews ⢠Prepare quarterly and annual compliance reporting for management and senior leadership ⢠Research and compile documentation for regulatory examinations and inquiries ⢠Conduct compliance surveillance reviews and investigations as required ⢠Coordinate compliance programs and perform operational or surveillance activities under SEC and FINRA regulations for broker-dealer and investment adviser affiliates ⢠Serve as a subject matter expert for assigned products, services, or regulatory requirements ⢠Provide training and guidance to compliance specialists and educate internal and external business partners ⢠Independently manage high-complexity communications reviews and escalate significant risks ⢠Provide guidance or coaching to less-experienced communications compliance team members
⢠8+ years of experience in financial services compliance ⢠Knowledge of registered securities products and applicable communications compliance requirements ⢠Comprehensive understanding of securities and insurance products sufficient to conduct compliance reviews of public communications ⢠Strong knowledge of FINRA, SEC, federal, and state securities regulations and applicable insurance regulations ⢠FINRA Series 6 and 26 registrations or Series 7 and 24 registrations ⢠FINRA Fingerprinting required ⢠Strong analytical skills and attention to detail ⢠Ability to interpret regulatory requirements and apply them to complex communications ⢠Ability to complete communications reviews accurately within established service or turnaround standards ⢠Ability to prioritize multiple assignments, manage projects, and meet strict deadlines ⢠Strong written and verbal communication skills ⢠Ability to build effective working relationships with business partners, management, and staff ⢠Ability to work independently with limited supervision ⢠Bachelor's degree or equivalent ⢠Prior experience reviewing retail and/or institutional communications for a broker-dealer, investment adviser, or financial services organization ⢠Experience responding to FINRA Advertising Regulation inquiries or supporting regulatory examinations ⢠Experience developing, maintaining, or testing communications compliance policies and procedures ⢠Experience serving as a communications compliance subject matter expert and training or mentoring compliance professionals ⢠Experience managing complex or escalated communications compliance matters ⢠Working knowledge of Empower's business model, products, and services
⢠Flexible work environment ⢠Fluid career paths ⢠Internal mobility opportunities ⢠Purpose, well-being, and work-life balance focus ⢠Welcoming and inclusive work environment ⢠Volunteering opportunities
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