Offer summary
Qualifications:
Bachelor’s Degree in a business-related field or equivalent experience, 5+ years in compliance, regulatory or investment industry, 3+ years supervisory experience, FINRA Series 7 and Series 24 required, Solid knowledge of relevant laws and regulations.
Key responsabilities:
- Supervise compliance staff and daily operations
- Manage branch examination process and reports
- Lead analyst staff in compliance responsibilities
- Conduct training on compliance topics
- Act as primary contact for administrative issues