Broker/Dealer Compliance, Associate

Blue Owl CapitalShort Hills, NJ
Onsite

About The Position

Blue Owl Capital is seeking a compliance professional to join the team responsible for managing the Compliance program for the firm’s broker-dealer affiliate, Blue Owl Securities LLC. This role will sit within Blue Owl’s broader Compliance department and support oversight of the firm’s limited-purpose broker-dealer. Title will be commensurate with experience. This role is in office Monday to Thursday.

Requirements

  • Minimum of 2 years of relevant experience in broker-dealer compliance within a FINRA-regulated environment, preferably at an institutional firm
  • Strong understanding of securities laws, rules, and regulations applicable to FINRA members
  • Highly detail-oriented with strong organizational and prioritization skills
  • Ability to work both independently and collaboratively in a team environment
  • Series 7 and Series 24 licenses required

Responsibilities

  • Implement policies and procedures related to the broker-dealer and support the annual cycle of reports and filings required to maintain compliance with FINRA requirements.
  • Coordinate FINRA filings and registered representative onboarding, including Forms U4, U5, BR, and BD
  • Support the broker-dealer’s Rule 3120 testing program
  • Coordinate continuing education requirements and Annual Compliance Meeting logistics
  • Maintain the branch inspection calendar
  • Assist in developing and delivering employee training
  • Support additional aspects of broker-dealer compliance, as needed
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