SVP, Wealth Strategist, Director of Planning & Compliance

Posted 3 Days Ago
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Dallas, TX, USA
Hybrid
Expert/Leader
Fintech
The Role
Leads sophisticated wealth planning for high-net-worth and ultra-high-net-worth clients, covering estate, tax, retirement, philanthropy, risk, wealth transfer, executive compensation, and business-owner needs. Oversees the trust-company compliance program, regulatory examinations, audits, investigations, remediation, policies, and controls. Manages fiduciary and tax compliance leadership, coordinates planning and fiduciary teams, mentors advisors, and develops client and internal education.
Summary Generated by Built In

WHO WE ARE

Founded in 1983, Westwood offers a broad array of investment solutions to institutional investors, private wealth clients and financial intermediaries.  The firm specializes in several distinct investment capabilities:  U.S. Value Equity, Multi-Asset, Energy & Real Assets, Income Alternatives, Tactical Absolute Return and Managed Investment Solutions, which are available through separate accounts, The Westwood Funds family of mutual funds, exchange-traded funds (ETFs) and other pooled vehicles.  Westwood trades on the New York Stock Exchange under the symbol "WHG."  Based in Dallas, Westwood also maintains offices in Chicago and Houston.

ABOUT THE ROLE

At Westwood Wealth, we are more than advisors—we are stewards of our clients’ financial well-being, delivering personalized, high-touch service with discretion, precision, and care to UHNW individuals and families. Our clients trust us with what matters most, and we honor that trust by ensuring every interaction is seamless, proactive, and deeply personalized.

The SVP, Wealth Strategist, Director of Planning & Compliance serves as a trusted technical expert for high-net-worth and ultra-high-net-worth clients and prospects. In close collaboration with internal teams and external advisors, this role designs and delivers sophisticated, strategic wealth solutions aligned with family and business goals. The ideal candidate brings initiative, accountability, discretion, and a proactive approach to every engagement. In addition to client-facing work, this role leads the firm’s comprehensive planning function, advancing complex financial planning standards, improving planning work product, and supporting advisors in delivering integrated advice to families with sophisticated needs.

A DAY IN THE LIFE

Wealth Strategy & Client Planning

  • Serve as a primary Wealth Strategist, leading comprehensive plans for clients and prospects across cash flow, retirement, estate, tax, wealth transfer, philanthropy, risk, executive compensation, and business-owner considerations.
  • Translate complex planning and legal concepts into clear client materials, recommendations, implementation steps, agreements, promissory notes, and related work product.
  • Lead client and prospect planning meetings and coordinate implementation with Wealth Advisors and external legal and tax professionals.
  • Own the firm’s wealth planning methodology, service standards, work-product quality, and development of the planning function.
  • Answer fiduciary questions, review estate plan summaries, and assist advisors with estate administration. 

Compliance Oversight

  • Provide executive and legal oversight of the trust-company compliance program, ensuring recurring responsibilities are assigned, completed, evidenced, and escalated appropriately.
  • Promote consistent planning, compliance, and control practices across the Wealth Planning pillar, in partnership with fiduciary, compliance, tax, operations, and advisor teams.
  • Serve as primary point of contact with regulators and external auditors.
  • Oversee examinations, audits, investigations, remediation plans, and significant information requests. 

Team Leadership & Integration

  • Manage and develop the VP, Fiduciary and Tax Compliance; set priorities, review capacity, and ensure accountability for recurring trust-compliance, tax, audit, reporting, and control work.
  • Partner with the Director of Fiduciary Services to integrate planning recommendations with trust administration realities and fiduciary obligations.
  • Mentor advisors and planning colleagues on complex planning concepts, planning standards, and the preparation of clear, actionable client recommendations.
  • Coordinate the Wealth Planning pillar’s workflow across planning, fiduciary, tax, compliance, and advisor teams; resolve ownership gaps and competing priorities. 

Policies, Education & Thought Leadership

  • Approve compliance-related policies and partner with the Director of Fiduciary Services on the Trust Policy Manual and related procedures.
  • Develop practical education for advisors, client service teams, clients, and prospects on planning and compliance topics.
  • Create client-facing and internal thought leadership that reinforces the firm’s family-office planning capabilities.
  • Other duties as assigned.

WHAT YOU'LL NEED

Minimum Education Required

• Juris Doctor (JD) and bachelor’s degree required. 

Licenses/Certifications Required

• CFP strongly preferred

Minimum Specific Experience Required

  • 15+ years of relevant wealth planning, legal, advisory, or compliance experience, including leadership responsibility.
  • Deep experience developing complex plans for high-net-worth or ultra-high-net-worth families, business owners, or executives.
  • Meaningful experience with compliance programs, policy development, regulatory filings or examinations, and remediation.
  • Must be a minimum of 18 years of age and possess unrestricted authorization to work in the United States
  • Must have unrestricted authorization to work in the USA. No visa sponsorship is available.

WHO YOU ARE

  • Strong understanding of estate, income tax, retirement, philanthropy, risk management, and wealth-transfer strategies.
  • Exceptional ability to synthesize complex information into clear recommendations.
  • Strong leadership presence with a collaborative, low-ego working style.
  • Comfortable balancing strategic planning work with governance, oversight, and deadlines.
  • Highly organized, pragmatic, client-focused, and committed to strong controls.

WHY WESTWOOD WEALTH?

At Westwood Wealth, we are driven by a shared purpose: to provide world-class financial guidance with unwavering integrity and excellence. We believe in empowering our people to deliver meaningful impact, embrace innovation, and build long-term relationships with our clients.

 If you are a detail-oriented, client-focused professional who thrives in a fast-paced, high-touch environment, we invite you to apply and be part of something truly exceptional.

Physical Demands

The physical demands required to perform the essential duties successfully are consistent with a professional office environment.

Travel

This position requires travel up to 15%.



Equal Opportunity Employer/Protected Veterans/Individuals with Disabilities
This employer is required to notify all applicants of their rights pursuant to federal employment laws. For further information, please review the Know Your Rights notice from the Department of Labor.

Skills Required

  • Juris Doctor (JD) degree
  • Bachelor's degree
  • Certified Financial Planner (CFP) certification
  • 15+ years of relevant wealth planning, legal, advisory, or compliance experience
  • Leadership responsibility in a relevant wealth planning, legal, advisory, or compliance role
  • Experience developing complex plans for high-net-worth or ultra-high-net-worth families, business owners, or executives
  • Experience with compliance programs, policy development, regulatory filings or examinations, and remediation
  • At least 18 years of age
  • Unrestricted authorization to work in the United States
  • Strong understanding of estate, income tax, retirement, philanthropy, risk management, and wealth-transfer strategies
  • Ability to synthesize complex information into clear recommendations
  • Leadership, collaboration, organization, client focus, and strong-controls orientation
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The Company
HQ: Dallas, TX
140 Employees
Year Founded: 1983

What We Do

Westwood Holdings Group, Inc. is a focused investment management boutique and wealth management firm. Westwood offers high-conviction equity and outcome-oriented solutions to institutional investors, private wealth clients and financial intermediaries. The firm specializes in two distinct investment capabilities: U.S. Value Equity and Multi-Asset, available through separate accounts, the Westwood Funds® family of mutual funds and other pooled vehicles. Westwood benefits from significant, broad-based employee ownership and trades on the New York Stock Exchange under the symbol “WHG.” Based in Dallas, Westwood also maintains an office in Houston.

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