About The Position

This role is designed for a high-performing risk professional seeking to operate at the intersection of Wealth Management, advanced analytics, and next-generation risk oversight. Join our Wealth Management Client Segment Risk team—an in-business risk function with direct impact on the integrity of The Firm. Within this team, the Central Review Unit (CRU) serves as a centralized hub of experienced Risk Officers responsible for overseeing and continuously evolving a sophisticated control framework focused on sales practices, suitability, and regulatory compliance. You will play a critical role in shaping how risk is identified, analyzed, and managed—leveraging data, technology, and artificial intelligence to enhance surveillance capabilities and drive smarter, more proactive risk outcomes.

Requirements

  • Deep expertise in financial markets, securities, and wealth management products, with the ability to assess risk across complex scenarios
  • Demonstrated aptitude for artificial intelligence and data-driven risk management, including the ability to apply analytics to enhance surveillance and controls
  • Proven track record of strengthening or transforming risk and control frameworks
  • Strong investigative and critical thinking skills, with the ability to independently drive issues from identification through resolution
  • Sophisticated understanding of SEC, FINRA, and regulatory expectations within Wealth Management
  • Advanced ability to identify trends, root causes, and emerging risks, and to deliver practical, scalable solutions
  • Exceptional organizational and prioritization skills, with the ability to manage competing demands without compromising quality
  • Strategic mindset with the ability to evaluate broader risk implications and anticipate downstream impacts
  • Advanced technical proficiency, including Excel and data analytics tools
  • 3-5 years of experience in risk management, compliance, or supervisory functions within financial services
  • Active Series 7 & 66 (or 65 and 63) required
  • Authorization to work in the U.S. without restrictions
  • Successful completion of all applicable pre-employment requirements

Nice To Haves

  • Experience with Alternative Investments and complex financial products is strongly preferred
  • Demonstrated experience leveraging technology or analytics to enhance risk processes is highly desirable
  • Series 9 and 10 (or 8) preferred, or ability to obtain within 60 days of hire

Responsibilities

  • Lead the analysis and oversight of core risk controls, including Trade Supervision, Advisory Account activity, and Suitability Reviews
  • Serve as a trusted partner to Field Risk leadership, influencing outcomes and driving alignment across the business
  • Own relationships with assigned Field Branches, leading recurring risk discussions and providing strategic guidance
  • Deliver high-impact reporting and trend analysis, translating complex data into clear, actionable insights
  • Identify opportunities to modernize and optimize the control framework, including the integration of AI, automation, and advanced analytics

Benefits

  • Comprehensive training
  • Mentorship
  • Professional development
  • Attractive and comprehensive employee benefits and perks in the industry
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