Jobs › Director of Compliance, Invest
Director of Compliance, Invest
Job at a glance
- Category
- Compliance
- Work arrangement
- On-site
- Posted
- Aug 30, 2026
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SoFi is hiring a Director of Compliance, Invest. This is a Compliance job in the governance, risk, and compliance field. Review the full details below and apply directly with SoFi.
a Employee Applicant Privacy Notice Who we are Shape a brighter financial future with us. Together with our members we’re changing the way people think about and interact with personal finance. We’re a next-generation financial services company and national bank using innovative mobile-first technology to help our millions of members reach their goals. The industry is going through an unprecedented transformation and we’re at the forefront. We’re proud to come to work every day knowing that what we do has a direct impact on people’s lives with our core values guiding us every step of the way. Join us to invest in yourself your career and the financial world. The role In this role you will participate in the development implementation and administration of the Compliance Management Program for the SoFi Invest product group. You will provide primary compliance coverage in support of the registered investment adviser SoFi Wealth. The main objective of this role is to serve as a trusted adviser and partner to the business units responsible for driving the growth of the broader Invest product offerings (including SoFi Wealth) while mitigating regulatory risk to the SoFi enterprise. You will participate in various committees audits and examinations as well as test the processes and infrastructure for the investment adviser and broker dealer that facilitate Invest activities through the administration and maintenance of the Compliance Risk Assessment and Annual Reviews. You will advise the Compliance and Legal teams on emerging compliance issues regulatory changes and new rules and consult and guide the company in the establishment of controls to mitigate risks. You will engage with business partners to offer appropriate knowledge expertise and business acumen to meet the increasing demands of a rapidly changing regulatory environment. What you’ll do Day-to-day responsibility for management and ongoing evolution of the firm s investment advisory compliance programs Assist in the management of the firm’s broker-dealer compliance programs Advise on FINRA and SEC rule applicability to new and evolving products and services including the integration of AI in the investor experience Preparation of major compliance-related projects and filings including but not limited to Web CRD filings IARD filings EDGAR filings Form ADV RR/IAR disclosures and all periodic reviews (4530 3210 206(4)-7 etc.) Assisting with the development maintenance and documentation of WSPs
Full responsibilities and requirements are on SoFi's application page.
Apply for this job →Location and market context
Location and work arrangement for this compliance job are set by SoFi; confirm remote, hybrid, or on-site expectations and any travel directly on the application page.
About compliance jobs
Compliance programs turn law, regulation, and policy into controls the business can actually run. Demand is strongest where regulatory change, enforcement risk, and new technology intersect. Jobs like this one are typically evaluated against frameworks such as relevant regulatory frameworks, control libraries, and audit and monitoring practices.
How to position yourself for this compliance job
Strong candidates emphasize building and monitoring controls, regulatory mapping, policy and training, and partnering with the business to make compliance practical. In your resume and outreach, tie your experience to how SoFi would apply relevant regulatory frameworks, control libraries, and audit and monitoring practices, and lead with concrete outcomes rather than duties.
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