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AC
American Century Investments
Compliance Consultant
Career Insights for Ethics Compliance Manager
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Based on Missouri data
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What they do
An Ethics Compliance Manager tracks employer compliance with ethical standards in addition to laws and regulations. Creates company policies, reviews departmental functions and protocol, follows developments in law and regulations affecting the industry and evolving ethical standards related to public regulations and industry practice.
$174,846 / year median in Missouri
+6% projected growth
Job Description
Compliance Consultant American Century Investments - 4.2 Kansas City, MO Job Details Full-time 1 hour ago Benefits Tuition reimbursement Paid time off 401(k) 5% Match 401(k) matching Opportunities for advancement Qualifications Investigations regulatory compliance Securities law compliance support experience Securities law Computer skills Cross-functional communication Full Job Description About Us American Century Investments® is a leading global asset manager with over 65 years of experience helping a broad base of clients achieve their financial goals. Our expertise spans global equities and fixed income, multi-asset strategies, ETFs, and private investments. Privately owned and independent, we focus solely on investment management. But there's an unexpected side to us, too. We direct 40% of our dividends every year—over $2 billion since 2000—to the Stowers Institute for Medical Research. Our ongoing financial support drives the Institute's breakthrough work and mission of defeating life-threatening diseases like cancer and Alzheimer's. So, the better we do for our clients, the more we can do for everyone. All who work here around the globe are inspired every day by the unique difference our hard work can make in so many lives. It shows in the curiosity we bring to every initiative, the deep relationships we build with our clients, and the way we treat each other in the hallway. If you're excited to Role Summary We are seeking a dedicated Compliance Consultant to join our Compliance team in a full-time, in-house capacity. This role plays a key part in helping American Century Investments maintain a strong culture of ethics, integrity, and regulatory compliance. As a trusted compliance partner, you will co-lead the firm's Code of Ethics program and support a variety of corporate compliance initiatives across the organization. You will collaborate with business partners and senior leaders to monitor compliance risks, investigate potential issues, enhance controls, and drive process improvements that support our evolving regulatory environment. This role reports to the Code of Ethics Compliance Manager. This hybrid position will be based out of our Kansas City, MO office. This position is not eligible for visa sponsorship. Applicants must be authorized to work in the U.S. without visa sponsorship, now or in the future. How You Will Make an Impact Co-lead the firm's Code of Ethics program by monitoring employee personal trading activity, investigating potential violations, and partnering with stakeholders to promote adherence to ethical and regulatory standards. Prepare clear and concise reporting, responses, and communications for the Code of Ethics Committee, Fund Boards of Directors, client due diligence requests, and other key stakeholders. Develop and deliver training programs that increase employee awareness and understanding of compliance policies, procedures, and regulatory requirements. Monitor gifts, entertainment, and business expense activity and support the ongoing execution and enhancement of the firm's Corporate Compliance Program. Identify emerging regulatory requirements and compliance risks, assess their impact on the organization, and design or strengthen controls to support compliance obligations. Leverage technology, automation, and industry best practices to improve compliance processes, increase efficiency, and enhance the overall effectiveness of the compliance program. What You Bring to the Team (Required) Bachelor's degree in a related field or equivalent combination of education and experience. 3 or more years of experience in a compliance based role at a financial services or highly regulated company. Working knowledge of the securities regulatory environment and a commitment to maintaining and expanding knowledge of relevant rules, regulations, and industry practices. Strong analytical, critical thinking, and investigative skills, with the ability to interpret and apply complex regulations, identify risks, make well-informed decisions, and document findings appropriately. Experience using compliance technology platforms and leveraging technology to improve processes, productivity, and user experience. Excellent written, verbal, and interpersonal communication skills, including the ability to build relationships and communicate effectively with employees and leaders across the organization. Strong organizational skills, attention to detail, and the ability to manage multiple priorities and deadlines while working independently and collaboratively within a team environment. Demonstrates the