Regulatory Reporting Vice President - Markets Operations – Broker-Dealer Servicing

JPMorgan Chase & Co.

Philippines

On-site

PHP 1,500,000 - 2,100,000

Full time

4 days ago
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Job summary

JPMorgan Chase & Co. in the Philippines seeks a Vice President to shape broker-dealer regulatory reporting and controls.

You will lead the day-to-day execution, governance, and continuous improvement of reporting, recordkeeping, and related controls to ensure timely, well-documented outcomes. You will oversee submissions, attestations, and exception management while developing a mid-size team and partnering with compliance, legal, risk, finance, technology, and audit to implement changes and

Qualifications

  • 10+ years of capital markets operations regulatory reporting or related control functions.
  • Strong understanding of broker-dealer regulatory reporting frameworks (FINRA, SEC, FED).
  • Proven people leadership in a production environment.
  • Experience leading migrations or major process/technology changes.

Responsibilities

  • Lead end-to-end delivery of broker-dealer regulatory reporting obligations with emphasis on FINRA reporting and controls.
  • Oversee daily control execution, reconciliations, critical reports, and approvals for timely submissions.
  • Validate reporting quality through documented reviews, evidence capture, and control sign-offs.
  • Escalate exceptions and conduct root-cause analysis with corrective actions.
  • Govern Books and Records practices to support record lifecycle and audit readiness.
  • Maintain and enhance SOPs, control documentation, and evidence packages.
  • Collaborate with compliance, legal, risk, finance, technology, and audit on process changes and controls.
  • Oversee Abandoned Property (escheatment) processes and controls as applicable.
  • Lead strategic migrations and transformations with milestones, risk tracking, and cutover governance.
  • Maintain regulatory readiness during change initiatives through documentation and approvals.
  • Lead, coach, and develop a mid-size team with clear objectives and capacity planning.

Skills

Leadership
Regulatory reporting
Risk and controls
Stakeholder collaboration
Communication

Job description

Help shape the integrity and reliability of broker-dealer regulatory reporting in a high-impact operations leadership role. You will lead critical reporting, recordkeeping governance, and control execution that supports a strong risk and compliance culture. You will partner closely with cross-functional stakeholders and drive process improvements that strengthen quality and resilience. If you thrive in a control-focused environment and enjoy leading teams through change, this role offers meaningful scope and visibility.

As a Vice President – Regulatory Reporting in the regulatory reporting and controls team, you will lead the day-to-day execution, governance, and continuous improvement of broker-dealer regulatory reporting and related control obligations. You will oversee submissions, attestations, recordkeeping, and exception management to support accurate, timely, and well-documented outcomes. You will lead a team and collaborate with partners across compliance, legal, risk, finance, technology, and audit.

Job responsibilities
  • Lead end-to-end delivery of broker-dealer regulatory reporting obligations, with a strong emphasis onFINRAreporting and associated controls, ensuring flawless execution against deadlines and cut-offs.
  • Oversee daily control execution, reconciliations, critical reports, and approvals to support accurate and timely submissions.
  • Validate reporting quality through documented reviews, evidence capture, and control sign-offs aligned to established procedures.
  • Escalate exceptions, errors, and control breaks in a timely manner and coordinate root-cause analysis and corrective and preventative actions.
  • Govern Books and Records practices to support record creation, retention, retrieval, and audit or examination readiness.
  • Maintain and enhance standard operating procedures, control documentation, and evidence packages supporting the record lifecycle and reporting processes.
  • Partner with compliance, legal, and technology stakeholders to assess recordkeeping and reporting impacts from process or system changes and ensure appropriate controls are embedded.
  • Oversee Abandoned Property (escheatment) operational execution and controls, including identification, due diligence, reporting, remittance, retention, and exception handling, as applicable.
  • Lead strategic migrations and transformations (process, platform, operating model, and/or location changes) with defined milestones, risk and dependency tracking, parallel runs, and cutover governance.
  • Maintain audit and regulatory readiness during change initiatives through documentation, evidence retention, approvals, and post-implementation monitoring.
  • Lead, coach, and develop a mid-size team through clear objectives, performance management, capacity planning, and cross-training to support coverage resilience.
Required qualifications, capabilities and skills
  • 10+ years of relevant experience in capital markets operations, broker-dealer operations, regulatory reporting, or related control and reporting functions.
  • Demonstrated understanding of broker-dealer regulatory reporting frameworks and operational expectations (e.g., FINRA, SEC, and FED requirements).
  • Proven experience owning end-to-end operational processes with a strong risk and controls mindset.
  • Demonstrated people leadership experience, including leading and developing a mid-size team in a production environment.
  • Experience leading change initiatives, including migrations or major process and technology changes, with strong execution discipline.
  • Strong written and verbal communication skills, including senior-level updates and structured escalation.
  • Strong analytical and attention-to-detail skills, including the ability to identify trends, detect anomalies, and drive sustainable remediation.
  • Ability to collaborate effectively with stakeholders across compliance, legal, risk, finance, technology, and audit.
Preferred qualifications, capabilities and skills
  • Experience with Books and Records control frameworks, record retention, and operating models in a broker-dealer environment.
  • Experience overseeing Abandoned Property (escheatment) processes and controls.
  • Experience in broker-dealer operations servicing or securities operations.
  • Experience driving automation and process improvement initiatives to improve control effectiveness and operational efficiency.
  • Familiarity with relevant regulatory topics such as OFAS (Office of Foreign Assets Control Screening), REG W (Regulation W), FED PCS (Federal Reserve Payment, Clearing and Settlement) or comparable broker-dealer regulatory policies and standards.
  • FINRA Series 99 (Operations Professional) certification, or willingness to obtain if required.
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