Seeking a Risk and Supervision Officer who will be responsible for our client. This role is responsible for overseeing risk, compliance, and supervisory functions in the office.
Your Responsibilities:
- Supervise and manage risk and compliance functions for the branch.
- Ensure adherence to policies, procedures, and regulatory standards (SEC, FINRA).
- Facilitate escalations, inquiries, and audits, ensuring timely responses and remediation.
- Provide coaching and guidance on risk awareness and compliance.
- Liaise with Legal and Compliance on client issues and litigation.
- Monitor risk related to clients and Financial Advisors (FAs).
- Assist with training, onboarding, and HR-related risk issues.
Qualifications:
- Bachelor’s degree or equivalent experience.
- 3+ years of industry experience in a Supervisory Function with active Series 7, 8 (or 9/10), 63, and 65 (or 66).
- Strong knowledge of SEC, FINRA, and compliance policies.
- Proven leadership or supervisory experience.
- Strong attention to detail and ability to prioritize tasks.
- Excellent judgment and discretion in handling sensitive matters.
- Ability to interact with Financial Advisors and clients effectively.