About The Position

Review retail and institutional communications, disclosures, notices, reports, forms, and correspondence for compliance with firm and industry rules. Rules and principals-based reviews of advertisements and correspondence from FINRA and SEC perspective. Respond to internal and external inquiries regarding regulatory requirements.

Requirements

  • Bachelor’s Degree required.
  • FINRA 7 and 24 licenses required. Must already have licenses.
  • 4+ experience in asset management industry and understanding of securities laws.
  • 2+ experience in the review of marketing material
  • Must have experience reviewing and approving marketing materials for registered products including mutual funds and ETFs.
  • Knowledge of Investment Company Act of 1940, Investment Advisers Act of 1940 and FINRA Rules and Regulations.
  • Knowledge of regulatory environment and some level of specific regulatory requirements for the Financial Services industry.
  • Fundamental investment concepts, practices and procedures used in the securities industry.
  • Knowledge of financial markets and products.
  • Ability to handle multiple responsibilities across multiple entities and work independently.
  • Ability to interact professionally and effectively with internal and external contacts using tact, discretion and good judgment.
  • Ability to manage high volumes of work under tight deadlines while maintaining accuracy and minimizing risk.
  • Excellent analytical and research skills.
  • Ability to work in team-oriented environment.
  • Excellent written and verbal communication skills.
  • Ability to prioritize and organize workload, multi-task and adapt quickly to change, and deliver under the pressure of deadlines.
  • Ability to provide and receive constructive criticism and manage expectations.

Nice To Haves

  • Experience with reviewing SMAs is a plus.
  • Familiarity with Red Oak Advertising Review and Recordkeeping System or a similar vendor preferred.

Responsibilities

  • Serve as an internal expert resource on industry regulations and guidelines regarding advertising materials.
  • Develops and maintains guidelines, manuals and processes for the review of advertising.
  • Review and approve sales and advertising literature for registered products, SMA’s.
  • Develop and implement effective methods and best practices for reviewing marketing communications.
  • Collaborate with the Marketing team and control functions to evaluate current processes, identify areas for improvement, and implement solutions.
  • Effectively track advertising and sales literature using applicable methods and tools per industry/company record retention requirements.
  • Participates in applicable projects to make significant structural changes to the advertising compliance review process.
  • Assist in researching and responding to comments and/or inquiries received from FINRA.
  • Remain current and anticipate changes in the regulatory environment and/or reputational risks to the firm that may affect the firm’s review standards and marketing communications.
  • Serve as primary contact for advertising compliance issues with the Firm’s FINRA analyst.
  • Assist with special projects, as requested.

Benefits

  • It is eligible for an annual discretionary bonus.
  • It also participates in the Firm's 401(k) and Profit-Sharing Plan.
  • The Firm's comprehensive benefits package includes medical, dental, and vision insurance coverage, along with short and long-term disability insurance coverage.
  • In addition, the Firm offers paid time off programs, free corporate gym access, subsidized in-office lunch options, and various employee discounts/perks programs.
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