Compliance Manager

job
  • North Texas Wealth Management
Job Summary
Location
Allen ,TX
Job Type
Contract
Visa
Any Valid Visa
Salary
PayRate
Qualification
BCA
Experience
2Years - 10Years
Posted
03 Feb 2025
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Job Description

About Us

North Texas Wealth Management has been empowering individuals and families to achieve their financial goals since 1968. As a fee-based wealth management firm, we take pride in offering personalized services across all stages of the financial journey. Our team-oriented culture fosters collaboration, positivity, and growth, backed by industry-leading technology and competitive benefits. We are committed to values-based investing, leveraging innovative tools to optimize financial planning and maximize investment and tax strategies.


About the Role

We are seeking a Compliance Manager to join our team full-time at our Allen, TX office. In this critical role, you’ll be responsible for overseeing and ensuring adherence to all regulatory compliance requirements. As the guardian of our firm's compliance program, you’ll play a key role in maintaining the integrity of our operations, mitigating risk, and safeguarding our clients’ trust.


Key Responsibilities


  • Regulatory Oversight: Ensure compliance with SEC, FINRA, and other applicable regulations, proactively identifying areas of risk and implementing necessary updates or controls.
  • Supervisory Responsibilities: Act as a Registered Principal , leveraging your Series 24 license to supervise and review activities across the firm.
  • Policy Development: Develop, implement, and maintain compliance policies, procedures, and processes to meet evolving regulatory requirements.
  • Monitoring and Audits: Conduct internal audits, supervise surveillance systems, and review activities to ensure adherence to policies and regulations.
  • Training: Provide compliance training to staff to maintain a culture of compliance awareness and integrity.
  • Document Review: Review and approve advertising and marketing materials, client communications, and investment documentation to ensure compliance with regulatory guidelines.
  • Filing and Reporting: Maintain accurate records and handle required filings, disclosures, and reporting to regulatory bodies.


What We’re Looking For


  • Required: Active Series 24 (General Securities Principal) license
  • Experience in a compliance role within the financial services industry
  • Strong knowledge of SEC, FINRA, and other relevant regulatory frameworks
  • Proven ability to develop and implement compliance policies and procedures
  • Exceptional attention to detail and problem-solving skills
  • Strong communication skills to effectively train and educate team members on compliance matters
  • Ability to manage multiple priorities and meet deadlines in a fast-paced environment
  • Bachelor’s degree in Finance, Business Administration, or a related field


What Makes You a Great Fit

  • You have a passion for ensuring ethical, compliant business practices.
  • You’re a proactive problem-solver who thrives in a dynamic environment.
  • You have a proven track record of successfully managing compliance programs and maintaining regulatory integrity.
  • You possess the ability to balance regulatory requirements with the firm’s strategic goals.


Benefits:

  • Competitive compensation and comprehensive benefits package.
  • 401(k) plan with company contribution.
  • Insurance coverage (health, life, dental, vision).
  • Paid time off and holidays.
  • Long & short-term disability coverage.


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