Compliance Manager
Company: U.S. Bank
Location: Minneapolis
Posted on: April 4, 2026
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Job Description:
At U.S. Bank, we’re on a journey to do our best. Helping the
customers and businesses we serve to make better and smarter
financial decisions and enabling the communities we support to grow
and succeed. We believe it takes all of us to bring our shared
ambition to life, and each person is unique in their potential. A
career with U.S. Bank gives you a wide, ever-growing range of
opportunities to discover what makes you thrive at every stage of
your career. Try new things, learn new skills and discover what you
excel at—all from Day One. Job Description The successful candidate
for this position will play a critical role in supporting and
overseeing the compliance program for an SEC?registered investment
adviser and affiliated registered investment companies. This
individual will bring deep regulatory expertise, strong judgment,
and exceptional communication skills to provide practical,
risk?based compliance guidance across the organization. The role
requires the ability to pivot quickly as regulatory expectations,
business initiatives, and job needs evolve, while maintaining a
high standard of accuracy, documentation, and professionalism. Key
Responsibilities : Investment Adviser & Investment Company
Compliance Provide day?to?day compliance support for an
SEC?registered investment adviser, including interpretation and
application of the Investment Advisers Act of 1940 and related SEC
rules. Support compliance oversight for registered investment
companies, including mutual funds or similar products, in
coordination with internal stakeholders and service providers.
Assist with the development, implementation, and maintenance of
compliance policies, procedures, and controls designed to meet
evolving regulatory expectations. Review and approve marketing,
advertising, and communications materials in accordance with the
SEC Investment Adviser Marketing Rule and applicable FINRA
standards. Partner closely with marketing, legal, and business
teams to ensure communications are accurate, balanced, and
compliant while supporting business objectives. Maintain
documentation and records supporting marketing review and approval
processes, including substantiation and required disclosures.
Translate complex regulatory concepts into clear, practical
guidance for business partners and senior leadership. Monitor
regulatory developments and assist in assessing their impact on
policies, procedures, and business practices. Support compliance
testing, certifications, and periodic reviews. Demonstrate
flexibility and adaptability by taking on new responsibilities as
the compliance program and business needs evolve. Basic
Qualifications - Bachelor's degree, or equivalent work experience -
Typically more than six years of applicable experience - Series 6
or Series 7 at minimum, and ideally Series 24 and/or Series 26 (or
willingness to obtain) Preferred Skills/Experience - Compliance
experience with an SEC?registered investment adviser, including
hands?on responsibility for advisory compliance matters. - FINRA
registration/licensure, with active licenses or the ability to
obtain required registrations within 4 months of start date (e.g.,
Series 7, 24, 63, 65, or equivalent, as applicable). - Demonstrated
experience supporting registered investment company compliance.
-Strong working knowledge of marketing and advertising review
requirements under the SEC and FINRA frameworks. - Exceptional
written and verbal communication skills, with the ability to
explain complex regulatory concepts clearly and effectively. -
Proven ability to pivot, prioritize, and adapt in a dynamic
regulatory and business environment. - Strong research, analytical,
and administrative skills, with a high level of accuracy and
attention to detail. Location expectations This role requires
working from a U.S. Bank location three (3) or more days per week.
If there’s anything we can do to accommodate a disability during
any portion of the application or hiring process, please refer to
our disability accommodations for applicants . Benefits: Our
approach to benefits and total rewards considers our team members’
whole selves and what may be needed to thrive in and outside work.
That's why our benefits are designed to help you and your family
boost your health, protect your financial security and give you
peace of mind. Our benefits include the following: Healthcare
(medical, dental, vision) Basic term and optional term life
insurance Short-term and long-term disability Pregnancy disability
and parental leave 401(k) and employer-funded retirement plan Paid
vacation (from two to five weeks depending on salary grade and
tenure) Up to 11 paid holiday opportunities Adoption assistance
Sick and Safe Leave accruals of one hour for every 30 worked, up to
80 hours per calendar year unless otherwise provided by law Review
our full benefits available by employment status here . U.S. Bank
is an equal opportunity employer. We consider all qualified
applicants without regard to race, religion, color, sex, national
origin, age, sexual orientation, gender identity, disability or
veteran status, and other factors protected under applicable law.
E-Verify U.S. Bank participates in the U.S. Department of Homeland
Security E-Verify program in all facilities located in the United
States and certain U.S. territories. The E-Verify program is an
Internet-based employment eligibility verification system operated
by the U.S. Citizenship and Immigration Services. Learn more about
the E-Verify program . The salary range reflects figures based on
the primary location, which is listed first. The actual range for
the role may differ based on the location of the role. In addition
to salary, U.S. Bank offers a comprehensive benefits package,
including incentive and recognition programs, equity stock purchase
401(k) contribution and pension (all benefits are subject to
eligibility requirements). Pay Range: $105,400.00 - $124,000.00
U.S. Bank will consider qualified applicants with arrest or
conviction records for employment. U.S. Bank conducts background
checks consistent with applicable local laws, including the Los
Angeles County Fair Chance Ordinance and the California Fair Chance
Act as well as the San Francisco Fair Chance Ordinance. U.S. Bank
is subject to, and conducts background checks consistent with the
requirements of Section 19 of the Federal Deposit Insurance Act
(FDIA). In addition, certain positions may also be subject to the
requirements of FINRA, NMLS registration, Reg Z, Reg G, OFAC, the
NFA, the FCPA, the Bank Secrecy Act, the SAFE Act, and/or federal
guidelines applicable to an agreement, such as those related to
ethics, safety, or operational procedures. Applicants must be able
to comply with U.S. Bank policies and procedures including the Code
of Ethics and Business Conduct and related workplace conduct and
safety policies. Posting may be closed earlier due to high volume
of applicants.
Keywords: U.S. Bank, Minnetonka , Compliance Manager, Accounting, Auditing , Minneapolis, Minnesota