Logo for Finalis

Broker-Dealer Compliance Analyst

Role overview

Qualifications

  • Bachelor’s degree or equivalent professional experience
  • 3+ years of experience in broker-dealer compliance, registration, supervision, surveillance, or a related financial-services role
  • Working knowledge of FINRA rules and broker-dealer supervisory requirements applicable to registered representatives
  • Strong analytical skills, sound judgment, and excellent attention to detail

Responsibilities

  • Review prospective registered representatives’ backgrounds, Form U4 information, registration history, disclosure events, and other onboarding materials
  • Coordinate registered representative and firm registration matters with state securities regulators, including responding to state registration questions and related regulatory inquiries
  • Identify and escalate potential conflicts of interest, material nonpublic information (MNPI), insider trading, information-barrier, or restricted-list concerns
  • Assist with responses to FINRA, SEC, state securities regulators, and other regulatory authorities, including gathering information and coordinating responses to regulatory requests and inquiries

Key facts

  • Remote from: United States
  • Full time
  • Mid-level (2-5 years)
  • Equity Sales and Trading Compliance Officer
  • English

Hard skills

Other skills

  • Supervision
  • Analytical Skills
  • Detail Oriented
  • Communication
  • Time Management

About the company

Finalis logo

Finalis

Investment Banking

Finalis’ commitment to redefining the capital markets through innovation has made it the world’s fastest-growing dealmaking platform. The Finalis platform supercharges independent investment bankers, placement agents, and M&A advisors globally. Finalis’ Deal Engine automates and accelerates every aspect of the deal life-cycle from start to finish on their deal life-cycle: from Workflow, to Connect, through Ledger with the market’s most attractive rates, resulting in substantial cost savings for our partners which leverage a growing global network of over 300 bankers. With Finalis Workflow, customers effortlessly streamline dealmaking processes using cutting-edge, compliant, and technology-driven workflows, ensuring efficiency and accuracy throughout the entire deal lifecycle. With Finalis Connect, customers gain access to the industry’s fastest-growing network of professionals, including investment bankers, placement agents, M&A advisors, funds, and companies actively seeking new opportunities in the capital markets. With Ledger, customers access a custom-built solution that delivers secure wire tracking, same-day processing, and expert regulatory compliance monitoring. Together, these solutions provide customers with unparalleled leverage and confidence in executing capital markets transactions. Launched in 2020 and growing rapidly, the SF- and NYC-based firm is on a mission to power dealmakers by building the world’s largest dealmaking platform.

Company details

Company typeScaleup
IndustryInvestment Banking
Company size51 - 200

Your match analysis

See how your profile stacks up against this role.

We compared the job requirements to your profile to show where you're strong and where you fall short.

Job description

What does Finalis do?

Finalis is the leading platform enabling independent and boutique investment banking firms to operate legally and compliantly. The firm provides regulatory affiliation and compliance infrastructure supporting private market transactions, including M&A, capital raising, private placements, secondary transactions, and alternative investments.

What about your team?

The Broker-Dealer Compliance Specialist supports Finalis’s supervisory and compliance program throughout the lifecycle of our registered representatives, from onboarding and registration through ongoing monitoring and supervision.

This role is ideal for someone who is detail-oriented, organized, and comfortable exercising sound judgment. The strongest candidate will be able to manage a high volume of matters, identify potential regulatory or supervisory concerns, ask appropriate follow-up questions, and distinguish routine requests from issues requiring deeper review or escalation.

What will you be doing?

Registered Representative Onboarding & Supervision

  • Review prospective registered representatives’ backgrounds, Form U4 information, registration history, disclosure events, and other onboarding materials.

  • Support Form U4 and U5 filings, amendments, licensing and registration requirements, and other FINRA Gateway/CRD processes.

  • Coordinate registered representative and firm registration matters with state securities regulators, including responding to state registration questions and related regulatory inquiries.

  • Monitor reportable events and ensure required regulatory filings, disclosures, attestations, and training are completed accurately and timely.

  • Review Outside Business Activity (OBA) disclosures and Private Securities Transaction (PST) requests, including potential conflicts, compensation arrangements, and supervisory considerations.

  • Review gifts and entertainment expenses, political contributions, and other registered-person activities subject to applicable regulatory requirements and Finalis policies.

Surveillance, Conflicts & Personal Trading

  • Administer and monitor registered representative personal securities accounts and personal trading requirements.

  • Identify and escalate potential conflicts of interest, material nonpublic information (MNPI), insider trading, information-barrier, or restricted-list concerns.

  • Conduct risk-based surveillance of email and other approved electronic business communications.

  • Identify and escalate potential unapproved activities, customer complaints, undisclosed conflicts, inappropriate communications, off-channel communications, or other potential regulatory or supervisory concerns.

  • Conduct follow-up reviews and investigations and clearly document conclusions, escalations, and supervisory decisions.

Ongoing Compliance Support

  • Support the review and escalation of customer complaints, regulatory inquiries, disclosure events, and other registered representative conduct matters.

  • Assist with responses to FINRA, SEC, state securities regulators, and other regulatory authorities, including gathering information and coordinating responses to regulatory requests and inquiries.

  • Work directly with registered representatives to obtain information, resolve compliance matters, and communicate applicable requirements.

  • Assist with annual and periodic certifications, questionnaires, attestations, and other supervisory processes.

  • Maintain accurate and complete compliance books and records.

  • Support regulatory examinations, internal compliance testing, audits, and other Compliance initiatives.

  • Stay current on FINRA rules, regulatory guidance, and industry developments affecting registered representatives and broker-dealer supervision.

Who are we looking for?

  • Bachelor’s degree or equivalent professional experience.

  • 3+ years of experience in broker-dealer compliance, registration, supervision, surveillance, or a related financial-services role.

  • Working knowledge of FINRA rules and broker-dealer supervisory requirements applicable to registered representatives.

  • Experience with or familiarity with Form U4/U5, FINRA Gateway/CRD, OBAs, PSTs, personal trading, gifts and entertainment, conflicts of interest, and electronic communications surveillance.

  • Strong analytical skills, sound judgment, and excellent attention to detail.

  • Ability to identify matters requiring additional diligence or escalation and clearly document compliance decisions.

  • Strong written and verbal communication skills and comfort working directly with registered representatives.

  • Ability to manage a high volume of matters and competing deadlines in a fast-paced environment.

Bonus Track!

  • You currently hold, or have previously held, one or more relevant FINRA registrations, including the Series 7, 24, 79, and/or 82.

  • You have experience working within an investment banking, private placement, or independent broker-dealer environment.

  • You have experience reviewing complex OBA, PST, conflicts-of-interest, or registered-person disclosure matters.

  • You have experience with electronic communications surveillance, personal trading monitoring, or registered-person supervisory programs.

  • You have experience investigating potential compliance violations or registered representative conduct concerns.

  • You have experience supporting FINRA or SEC examinations or internal broker-dealer compliance testing.

What do we offer?

  • 100% Remote work

  • Generous Paid Time Off

  • Benefits Package

  • Paid Family Leave

  • Diverse and inclusive culture

Apply once. Then go straight to the hiring manager.

After you apply, unlock the direct contact details of the people who actually make the call. A quick follow-up makes you 5x more likely to land an interview.

MR

Marcus Rivera

Chief Revenue Officer

m.rivera@company.com
linkedin.com/in/marcusrivera
Unlocked after you apply
·

Equity Sales and Trading Compliance Officer Related jobs

Other jobs at Finalis

Premium

Reach out to the hiring manager directly.

Gain access to the contact details of the hiring managers who actually decide, and reach out to network with them directly. That, plus more when you upgrade:

  • Full match report with fit score and gaps
  • Career diagnostics on how recruiters read you
  • Curated company matches and warm intros
  • 48h early access to new roles

Cancel anytime.