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Compliance Manager - Invest

About OnePay

OnePay is a consumer financial services app with an exceedingly simple mission: to help people achieve financial progress.

Tens of millions of Americans today are unbanked or underbanked, meaning they don’t have enough money in savings to cover a minor emergency. They pay too much in fees, don’t have access to credit at affordable rates, and have little ability to grow their wealth. OnePay’s vision is to create a single app for consumers to save, spend, borrow, and grow their money, bringing our mission to life with simple and accessible banking, credit, and payments products that deliver a best-in-class experience to millions of customers. Our products include:

  • Checking and high-yield savings accounts

  • Domestic and international peer-to-peer payments

  • Credit Builder and credit score monitoring

  • Digital wallet / contactless payment solutions

  • Buy-now-pay-later installment loans at Walmart

Why do we have a right to win? We have the backing of Walmart (a Fortune 1) and Ribbit Capital (a preeminent fintech investor), are deeply embedded with the distribution of the world’s largest omnichannel retailer, and have an industry-leading multi-product value proposition — all in addition to having some of the best people and talent in the industry.

There’s never been a better time to build a category-defining business and there has rarely been a team better positioned for the opportunity. Join us!

The Role

We are seeking a proactive and experienced Compliance Manager to join our growing team at a new FINRA-registered broker-dealer. This is a dynamic role requiring a hands-on professional with the ability to develop, implement, and manage compliance programs, policies, and procedures. The ideal candidate will be a generalist with the expertise to oversee supervisory functions, collaborate with regulators and internal stakeholders, and help ensure the firm operates in compliance with all applicable FINRA, SEC, and other regulatory requirements

Key Responsibilities

1. Policy Development and Implementation

  • Design, implement, and update compliance policies and procedures to ensure alignment with regulatory requirements.

  • Maintain an effective compliance program tailored to the firm's size, scope, and activities.

2. Regulatory Oversight

  • Serve as a point of contact for FINRA, SEC, and other regulatory bodies.

  • Prepare for and manage regulatory examinations, audits, and inquiries.

  • Maintain up-to-date knowledge of applicable laws, rules, and regulations and advise senior management of key developments.

3. Supervisory and Risk Management Functions

  • Perform and oversee supervisory reviews, including trade surveillance, electronic communications monitoring, and other supervisory functions.

  • Identify potential compliance risks and develop strategies to mitigate them.

  • Conduct internal audits and compliance testing to assess the firm’s adherence to policies and regulations.

4. Training and Stakeholder Collaboration

  • Develop and deliver compliance training programs to staff at all levels.

  • Partner with internal stakeholders, including legal, operations, and business units, to provide compliance guidance and ensure effective communication.

  • Advise senior management on compliance issues and participate in strategic decision-making.

5. Documentation and Reporting

  • Maintain accurate records of compliance activities, including policies, supervisory procedures, and audit findings.

  • Prepare compliance reports for senior management and the board of directors.

  • File regulatory reports and disclosures in a timely and accurate manner.

You bring

Required:

  • Bachelor’s degree in finance, business, law, or a related field.

  • Minimum of 5-7 years of compliance experience in a broker-dealer or financial services environment.

  • FINRA Series 7, 24, or 27 licenses (or willingness to obtain within a specified timeframe).

  • Strong knowledge of FINRA and SEC rules and regulations.

  • Demonstrated ability to build and manage compliance policies, procedures, and programs.

  • Excellent communication skills, with the ability to interact effectively with regulators and internal stakeholders.

Preferred:

  • Experience with risk management and supervisory processes.

  • Proven ability to work in a fast-paced, startup environment.

Key Attributes:

  • Strategic thinker with a detail-oriented approach.

  • Self-starter with strong organizational and multitasking abilities.

  • Collaborative mindset with strong interpersonal skills.

What We Offer

  • Competitive base salary, stock options, and health benefits from Day 1

  • 401(k) plan with company match

  • Remote-friendly (US), flexible time off (FTO), and opportunities for growth

  • A high-growth, mission-driven, inclusive culture where your work has real impact

Pay Transparency

The estimated annual base salary for this position ranges from $140,000 to $160,000. Pay is generally based upon the level, complexity, responsibility, location and job duties / requirements of the specific position. We then source candidates with the requisite skills, expertise, education, training, and experience.  If you are selected for an interview, please feel welcome to speak to a Talent Partner about our compensation philosophy and other available benefits.


We use Covey as part of our hiring process for jobs in NYC and certain features may qualify it as an AEDT. As part of the evaluation process we provide Covey with job requirements and candidate submitted applications. We began using Covey Scout for Inbound on May 31, 2024.

Please see the independent bias audit report covering our use of Covey here.

Standard Interview Process

  • Initial Interview with Talent Partner

  • Technical or Hiring Manager Interview

  • Team Interview

  • Executive Interview

  • Offer!

Equal Employment Opportunity

To build technology and products that are used and loved by people and solve real-world problems, we need to build a team with many different perspectives and experiences. We are an equal opportunity employer. We do not discriminate on the basis of race, religion, color, national origin, gender, sexual orientation, age, marital status, veteran status, or disability status. We encourage candidates from all backgrounds to apply. Applicants in need of special assistance or accommodation during the interview process or in accessing our website may contact us at talent@onepay.com.

Average salary estimate

$150000 / YEARLY (est.)
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$140000K
$160000K

If an employer mentions a salary or salary range on their job, we display it as an "Employer Estimate". If a job has no salary data, Rise displays an estimate if available.

What You Should Know About Compliance Manager - Invest, OnePay

Join OnePay as a Compliance Manager and become a vital part of our mission to empower individuals by providing innovative financial services. As we grow, we’re on the lookout for someone proactive who can develop, implement, and manage compliance programs at our new FINRA-registered broker-dealer. In this dynamic position, you’ll ensure that we uphold our commitments to regulatory bodies like FINRA and SEC while working closely with internal teams to maintain a strong compliance culture. This role involves designing policies, preparing for regulatory exams, and overseeing supervisory functions. If you have 5-7 years of compliance experience in the financial sector and possess excellent communication skills, you’re just the person we need. As a Compliance Manager at OnePay, your insights will directly influence how we navigate the regulatory landscape, making your contributions crucial to our success. We value strategic thinkers who are detail-oriented and self-motivated, and we offer flexibility and growth opportunities. With a competitive salary and benefits starting from Day 1, this is your chance to be part of a high-growth, mission-driven culture that is not just about business but truly about making a difference in people’s financial health.

Frequently Asked Questions (FAQs) for Compliance Manager - Invest Role at OnePay
What are the key responsibilities of the Compliance Manager at OnePay?

The Compliance Manager at OnePay is responsible for developing, implementing, and managing compliance programs that align with regulatory requirements. Key responsibilities include overseeing supervisory functions, managing regulatory examinations, training staff, and preparing compliance reports. This role demands a hands-on approach to ensure that OnePay operates within the guidelines set by FINRA, SEC, and other regulatory bodies.

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What qualifications are needed for the Compliance Manager position at OnePay?

To qualify for the Compliance Manager role at OnePay, candidates should have a Bachelor’s degree in finance, business, law, or a related field. Additionally, a minimum of 5-7 years of compliance experience in a broker-dealer or financial services environment is required. Knowledge of FINRA and SEC regulations, along with licenses like Series 7, 24, or 27, is essential for this position.

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What kind of experience is preferred for the Compliance Manager role at OnePay?

While not mandatory, experience with risk management and supervisory processes is preferred for the Compliance Manager position at OnePay. An ideal candidate would have a background in fast-paced, startup environments, which can be invaluable as we continue to grow and adapt our compliance strategies to meet regulatory demands.

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What can candidates expect during the interview process for the Compliance Manager at OnePay?

Candidates interviewing for the Compliance Manager position at OnePay can expect a structured process that includes an initial interview with a Talent Partner, followed by technical interviews with hiring managers and team members. The process concludes with an executive interview and an offer, emphasizing our thorough approach to finding the right fit for our team.

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What is the pay range for the Compliance Manager role at OnePay?

The estimated annual base salary for the Compliance Manager position at OnePay ranges from $140,000 to $160,000, depending on various factors such as responsibility, complexity, and individual qualifications. We also encourage potential candidates to discuss our compensation philosophy with our Talent Partner during the interview.

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Common Interview Questions for Compliance Manager - Invest
Can you describe your experience with compliance policies and procedures?

When answering this question, highlight specific instances where you've developed or implemented compliance policies. Mention any regulatory frameworks you've worked with, like FINRA or SEC, to demonstrate your expertise in the field.

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How do you stay updated with regulatory changes?

Discuss the methods you use for staying informed about regulatory updates, such as subscribing to industry news, attending seminars, or participating in compliance forums. Your answer should reflect a commitment to continuous learning and adaptation.

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What strategies do you employ to mitigate compliance risks?

Provide examples of risk assessment methodologies you've employed in past roles. Discuss how you've identified risks, created mitigation strategies, and engaged with teams to foster a culture of compliance.

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How do you handle regulatory audits and examinations?

Share your experience in preparing for and managing audits, including your approach to documentation and communication with regulatory bodies. Emphasize your organizational skills and your ability to remain calm under pressure.

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What role do you believe compliance training plays in a company?

Talk about the importance of compliance training in promoting a culture of adherence within an organization. Share specific examples of training programs you've initiated and their impact on compliance awareness among employees.

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Can you describe a time when you had to deliver difficult compliance news?

Demonstrate your communication skills by describing a scenario in which you had to convey challenging compliance issues to staff or management. Focus on your approach and how you maintained transparency and a constructive tone.

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How do you collaborate with other departments on compliance issues?

Highlight your experience working with different teams to ensure compliance across various functions. Share examples of how your collaborative efforts have improved compliance processes and outcomes.

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What compliance management tools have you used?

List the compliance tools and software you are familiar with, explaining how they have helped improve compliance practices in your previous roles. Mention any quantifiable successes if possible.

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What do you consider the biggest compliance challenges facing financial services today?

Provide insights into current industry challenges such as evolving regulations, technological advancements, or changes in customer behavior. Discuss how you've navigated similar challenges in your career.

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Why do you want to work as a Compliance Manager at OnePay?

Express your passion for consumer financial services and the mission of OnePay. Align your skills and experiences with the company’s goals and emphasize your desire to contribute to a culture of compliance at a company that is making meaningful changes.

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DATE POSTED
March 22, 2025

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