Offer summary
Qualifications:
Bachelor's degree or equivalent work experience, 3+ years of Securities or Compliance experience, FINRA Series 7 required, Series 24 preferred, Knowledge of SEC and FINRA regulations, Proficient in Microsoft Office applications.
Key responsabilities:
- Conduct thorough evaluations of branch activities
- Plan and prepare pre-audit materials and schedule exams
- Perform virtual/in-person examinations of branches
- Communicate examination results to management and staff
- Educate Financial Advisors on industry rules during exams