Home Office Principal - Surveillance

Lincoln InvestmentFort Washington, PA
Onsite

About The Position

Lincoln Investment, recognized as one of Philadelphia's Top Workplaces for fifteen years, is an independent broker dealer and registered investment advisor that offers brokerage, investment advisory and other financial services. Lincoln has over 1,000 financial advisors nationwide and we serve over 350,000 clients representing over $36 billion in assets. We are a majority family-owned financial services firm that regards our employees as integral players in our continuous growth. Lincoln Investment's success is built upon our dedication to helping people retire well and promoting a work environment that fosters success. Our financial strength and profitability are natural results of "helping people, having fun, and enjoying success." Lincoln Investment offers a competitive compensation and benefits package. Our Home Office is conveniently located in Fort Washington, PA, just outside of Philadelphia. The primary responsibility of this position is to provide surveillance of firm-wide sales practices to detect and prevent trends that fail to be in compliance with firm policies and procedures and/or may be “at risk” issues for the firm.

Requirements

  • Ability to gather and analyze data to identify activity or trends that pose a risk to the firm and bring these matters to supervisor's attention.
  • Aptitude to assess a situation and make a decision on how to move forward.
  • Ability to keep accurate records.
  • Capacity to work independently.
  • Excellent oral and written communication skills.
  • Organizational and time management skills (e.g., ability to effectively manage multiple priorities).
  • Ability to conduct oneself in a diplomatic and professional manner.
  • Offer creative solutions to issues.
  • Project management capabilities.
  • Exceptional attention to detail.
  • Three to five years of experience in the securities industry (preferably in compliance and/or supervision).
  • Working knowledge of FINRA, SEC, MSRB and ERISA rules & regulations as they apply to both broker/dealers and registered investment advisors.
  • Thorough understanding of securities products, insurance products (including variable annuities, equity indexed annuities and fixed annuities) and investment advisory programs.
  • Extensive word processing (Word) and spreadsheet (Excel) experience in Windows environment, presentation (PowerPoint) knowledge.

Nice To Haves

  • Series 9/10 preferable.
  • Series 4 helpful but not required.

Responsibilities

  • Daily review of Firm Exception Reports and Tools to identify activity or trends that pose a heightened risk to the firm and provide notification/reporting to Vice President of Supervision and/or Chief Compliance Officer when matter may be material.
  • Work with the Compliance Department, Designated Supervisors, Financial Professionals and Home Office Employees on the education, communication and enforcement of Lincoln's policies and procedures.
  • Contribute to the development and improvement of surveillance policies, procedures, and controls.
  • Contribute to the update of procedural manuals or written supervisory procedures as needed.
  • Assist in the creation and/or implementation of new DS/FP Compliance Memorandums as needed.
  • Work on special projects as needed.

Benefits

  • competitive compensation and benefits package
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