Lead Compliance Analyst – Compliance Testing & Regulatory Oversight

TransamericaCedar Rapids, IA
$90,000 - $100,000Hybrid

About The Position

As a key member of the Compliance department, help strengthen the effectiveness of the compliance programs of a broker-dealer, registered investment adviser, and insurance agency by leading compliance testing, monitoring, and regulatory oversight activities that mitigate legal, regulatory, operational, and reputational risk. Apply advanced knowledge of applicable rules and regulations to independently evaluate controls, identify risks and trends, lead complex testing initiatives, and recommend enhancements that support regulatory compliance and business objectives.

Requirements

  • Bachelor’s degree in business, finance, or other relevant field, or equivalent education and experience.
  • Five years of regulatory compliance, insurance, securities, financial services, internal audit, risk management, testing, monitoring, advisory compliance or other relevant experience.
  • Strong working knowledge of FINRA and SEC requirements.
  • Experience supporting compliance programs, compliance testing, regulatory examinations, and compliance risk assessments.
  • FINRA Series 7 and 24 licenses. or ability to obtain required licenses within a specified timeframe.
  • Excellent written and verbal communication skills, including the ability to communicate regulatory requirements and compliance expectations to diverse audiences.
  • Ability to research, analyze, and interpret complex regulatory requirements and assess business impacts.
  • Proficiency with Microsoft Office applications, advanced Excel and PowerPoint skills.

Nice To Haves

  • FINRA Series 65 or 66 license.
  • Experience conducting investigations and surveillance
  • Experience creating and performing testing related to the annual broker-dealer’s 3120 testing/reporting and the registered investment advisor’s 206(4)-7 testing/reporting, etc.
  • Strong analytical, critical thinking, problem-solving, and organizational skills.
  • Ability to independently manage multiple priorities, deadlines, projects, and regulatory initiatives.

Responsibilities

  • Serve as the primary owner and coordinator for assigned compliance testing, regulatory monitoring, and compliance oversight programs across the broker-dealer, registered investment adviser, and insurance agency including annual FINRA Rule 3120 and Advisers Act Rule 206(4)-7 compliance reviews.
  • Lead the planning, execution, documentation, and ongoing enhancement of risk-based compliance testing programs, including the development and maintenance of regulatory risk assessments; testing methodologies, sampling approaches, procedures, workpapers, and calendars; reporting frameworks; risk matrices; compliance logs; and supporting records.
  • Evaluate business processes, supervisory controls, policies, procedures, products, and services to assess compliance with applicable SEC, FINRA, and state regulatory, and internal requirements.
  • Analyze testing results to identify control weaknesses, root causes, emerging risks, and recurring issues, and recommend practical improvements to strengthen compliance controls, business practices, and the maturity of the compliance testing and monitoring program.
  • Prepare and present testing results, compliance metrics, trend analyses, management reporting, and regulatory summaries to Compliance leadership and business stakeholders.
  • Coordinate and support regulatory examinations, audits, inquiries, investigations, and requests by gathering documentation, conducting analysis, drafting responses, and supporting remediation efforts.
  • Research and interpret new and existing regulatory requirements, guidance, enforcement developments, and industry best practices; assess potential impact and recommend appropriate action.
  • Collaborate with Compliance, Legal, Supervision, Operations, Risk, Product, and business partners to implement corrective actions, process improvements, regulatory initiatives, business initiatives, and control enhancements.
  • Provide guidance, training, and technical support to team members and business partners regarding testing methodologies, regulatory requirements, and compliance expectations.
  • Complete additional tasks, special projects, and compliance-related initiatives as assigned.

Benefits

  • Competitive Pay
  • Bonus for Eligible Employees
  • Pension Plan
  • 401k Match
  • Employee Stock Purchase Plan
  • Tuition Reimbursement
  • Disability Insurance
  • Medical Insurance
  • Dental Insurance
  • Vision Insurance
  • Employee Discounts
  • Career Training & Development Opportunities
  • Paid Time Off starting at 160 hours annually for employees in their first year of service.
  • Ten (10) paid holidays per year (typically mirroring the New York Stock Exchange (NYSE) holidays).
  • Be Well Company holistic wellness program, which includes Wellness Coaching and Reward Dollars
  • Parental Leave – fifteen (15) days of paid parental leave per calendar year to eligible employees with at least one year of service at the time of birth, placement of an adopted child, or placement of a foster care child.
  • Adoption Assistance
  • Employee Assistance Program
  • Back-Up Care Program
  • PTO for Volunteer Hours
  • Employee Matching Gifts Program
  • Employee Resource Groups
  • Inclusion and Diversity Programs
  • Employee Recognition Program
  • Referral Bonus Programs
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