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Compliance Analyst - Advertising Review

Role overview

Qualifications

  • Bachelor’s degree or equivalent experience
  • Three years relevant experience in compliance (advertising Compliance experience preferred)
  • Series 7, 24 63 FINRA registrations required
  • Working knowledge of life insurance and annuity products

Responsibilities

  • Review retail communication against applicable laws and regulations
  • Interpret impact of laws on new and existing retail communication
  • Communicate changes and important issues to affected business unit, field, and customers
  • Effectively track retail communication using applicable methods and tools per industry/company record retention requirements

Key facts

Other skills

  • Communication
  • Time Management

About the company

Cetera Financial Group logo

Cetera Financial Group

Financial Services

An at-scale wealth hub, Cetera Financial Group® (Cetera) offers financial professionals and institutions the latest solutions, support, and services. Breaking away from a commoditized and homogenous IBD model, Cetera instead creatively addresses advisors' and institutions' unique needs, whether they are seeking to grow, scale, or transition with a merger, sale, investment, or succession plan. Cetera proudly serves independent financial advisors, tax professionals, licensed administrators, large enterprises, as well as institutions, such as banks and credit unions, providing an established and repeatable blueprint for scalable growth. Cetera's approach empowers advisors to affiliate in whichever way they deem most appropriate. During the professional life cycle of their practice, the Cetera wealth hub helps to ensure each advisor's affiliation model identifies and ignites growth levers in a way that helps increase the value of their practice, people, and legacy. Cetera delivers holistic, unbiased financial planning and advice to Main Street investors, helping them achieve their version of financial wellbeing at all life stages. For financial professionals, Cetera provides growth and succession resources, an enhanced advisor tech stack and importantly, an experience where financial professionals don't feel like a number, but an integral part of Cetera's rich and thriving ecosystem. Home to more than 8,000 financial professionals and their teams, Cetera oversees approximately $322 billion in assets under administration and $115 billion in assets under management, as of December 31, 2022. In a recent advisor satisfaction survey of more than 14,000 reviews, Cetera's Voice of Customer (VoC) program vigorously measures advisor experience and satisfaction 24/7. Currently, it's ranked 4.7 out of 5 stars.

Company details

Company typeLarge
IndustryFinancial Services
Company size1001 - 5000

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Job description

Cetera Financial Group is currently seeking a Compliance Analyst for Ad Review. This is a unique opportunity to join our team to ensure that all retail communication complies with state and federal laws, rules and regulations, and internal standards. This also includes Federal and State Insurance Regulations as well as FINRA and SEC Rules. This position will work in the areas of insurance and securities. This is a fully Remote role. 

 

What You Will Do: 

  • Review retail communication against applicable laws and regulations.  Interpret impact of laws on new and existing retail communication.  Communicate changes and important issues to affected business unit, field, and customers.  Effectively track retail communication using applicable methods and tools per industry/company record retention requirements.
  • Involved in the following activities to ensure compliance with laws and regulations:
    • Assists in researching, drafting, and /or reviewing insurance/securities products and/or advertising materials
    • Correspond with applicable regulatory bodies for clarification of advertising regulations as needed. This may include the NAIC, state DOIs, SEC, or FINRA
    • Assist in researching and responding to comments and/or inquiries received from state insurance departments or FINRA
    • Assists in researching and responding to customer and/or producer inquiries about compliance issues.
    • Manages subject matter expert review process to ensure materials are reviewed by all applicable individuals/units.
    • Strives for consistency of the reviews on an ongoing basis to ensure reviews are performed consistently across the organization.
    • Assist in maintaining internal compliance materials such as manuals, reference material, reports and website
    • Other duties as assigned.

 

What You Need to Have: 

  • Bachelor’s degree or equivalent experience
  • Three years relevant experience in compliance (advertising Compliance experience preferred)
  • Series 7, 24 & 63 FINRA registrations required.
  • Working knowledge of life insurance and annuity products
  • General knowledge of advanced marketing concepts
  • Good communications skills a must
  • Ability to manage high volumes under tight deadlines

 

Compensation: 

The base annual salary range for this role is $64,000 to $94,000, plus a competitive performance-based bonus.  Base annual salary depends on a wide array of factors, including but not limited to skill set, years and depth of experience, certifications, and location. Base annual salary may also differ significantly due to geography and cost of labor considerations. 

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MR

Marcus Rivera

Chief Revenue Officer

m.rivera@company.com
linkedin.com/in/marcusrivera
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