Broker Dealer and Regulatory Reporting Associate - Americas

AllianceBernsteinNashville, TN
Onsite

About The Position

We are seeking a Nashville, TN based associate to join our Broker Dealer and Regulatory Reporting group in Broker Dealer Operations, with a concentration of responsibilities in Regulatory Reporting including but not limited to FINRA rules and regulations, SOX and external audits, and client reporting. Broker Dealer Operations is responsible for the support of and custody of AB’s Private Wealth business. The broker dealer is a registered subsidiary entity in multiple countries with multiple exchange memberships which operates across 45+ markets. The broker dealer operations support team is in place to support all Private Wealth activity and works within the global support framework to provide the highest quality of service to internal and external global client base. Since 2012 the operational functions have been outsourced to a major industry provider leaving a global team of 11 highly skilled individuals in broker dealer processing and regulations to provide the necessary oversight for the daily activity. This role will encompass several different disciplines across regulatory reporting, audit and risk control, and client reporting. This role will include liaising with various external vendors to deliver accurate and high-quality reporting for both our internal partners and our external clients.

Requirements

  • Bachelor’s degree
  • SIE and/or series 99 or series 7 (not required for hire but will be required to obtain within six months of hire date).
  • 5-10 years’ experience in the financial industry in both regulatory reporting and audit control.
  • Excellent attention to detail, organization, and ability to manage time-sensitive requests in a high-volume environment.
  • Strong written and verbal communication skills, paired with a strong desire to work in a team-oriented environment.
  • Demonstrated discretion and ability to handle confidential employee, client, business, and firm information appropriately.
  • Strong analytical skills, sound judgment, professional maturity, and willingness to ask questions.
  • Ability to manage multiple priorities and meet deadlines in a fast-paced environment.

Responsibilities

  • Prepare and submit accurate and timely reports to the Financial Industry Regulatory Authority (FINRA).
  • Monitor regulatory changes and ensure compliance with all FINRA reporting requirements.
  • Collaborate with internal teams to gather necessary data and ensure the integrity of reported information.
  • Support the execution of Sarbanes-Oxley (SoX) compliance activities, including documentation and testing of internal controls.
  • Assist in identifying and mitigating risks related to financial reporting.
  • Work with internal audit teams to address findings and implement corrective actions.
  • Coordinate with external auditors to facilitate the audit process and provide necessary documentation.
  • Ensure timely and accurate responses to audit inquiries and requests.
  • Implement and monitor controls to address audit recommendations and improve reporting processes.
  • Prepare and distribute comprehensive reports for private wealth clients, ensuring accuracy and clarity.
  • Collaborate with client service teams to address client inquiries and reporting needs.
  • Continuously improve reporting processes to enhance client satisfaction and service delivery.
  • Develop and maintain risk and control reports for broker-dealer operations.
  • Identify potential risks and implement strategies to mitigate them.
  • Work with cross-functional teams to ensure effective risk management and control practices.
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