Compliance Specialist, Advertising

Ultimus Fund SolutionsCincinnati, OH
2d

About The Position

The Compliance Specialist – Advertising is responsible for assisting with the implementation and execution of the Broker-Dealer compliance program for the broker dealer(s), particularly with respect to advertising review.

Requirements

  • Bachelor’s degree in business administration, finance, accounting, or related field.
  • 2+ years of experience in the financial industry.
  • Experience working in an operations or compliance role.
  • FINRA Series 7 or 24.
  • Securities rules and regulatory requirements, especially FINRA Rule 2210 and SEC Rule 482.
  • Microsoft Office Suite.
  • Adobe Acrobat.
  • Ability to successfully communicate and apply regulatory requirements both internally and to clients of the Firm.
  • Troubleshoots issues utilizing creative and critical thinking skills.
  • Multitasking, analytical, and organizational skills.
  • Initiative-taking, strategic, and meticulous approaches with a strong commitment to quality, efficiency, and effectiveness.
  • Demonstrates personal integrity, responsibility, and accountability.
  • Effectively uses resources such as time and information in conjunction with associates.
  • Participates in solving problems and making decisions.
  • Presents and expresses ideas and information, written and oral, clearly, and concisely.
  • Actively listens to others to achieve understanding and supports an open exchange of ideas and information.
  • Identifies needs, arranges for, and obtains resources to accomplish individual and department goals.
  • Establishes and develops effective working relationships with associates and clientele during both favorable and unfavorable situations.
  • Modifies team and individual priorities and deadlines in response to added information, changing conditions, or unexpected obstacles and ensures completion.
  • Equivalent education, experience, and KSA’s will be considered.

Responsibilities

  • Performs compliance reviews in accordance with firm policy and applicable regulatory requirements. To include timely review, approval, and filing as required.
  • May travel for off-site client office exams.
  • Conducts various website and internet reviews.
  • Assists with departmental projects as assigned. For example, annual due diligence review of vendors, agreements, clients, and products.
  • Assists with regulatory, internal, and third-party audits of Broker-Dealer compliance programs.
  • Answers client and internal inquiries and helps resolve any issues.
  • Contact with members of team and internal teams regarding follow-up on inquiries, open workflow, etc.
  • May perform other duties as required and assigned.
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