Principal Analyst, Surveillance - Manipulation

FINRARockville, MD
$97,700 - $211,400Hybrid

About The Position

This Principal Analyst position within Regulatory Operations Surveillance is responsible for conducting complex surveillance reviews under minimal supervision and identifying violations of applicable federal securities, FINRA and RSA Client Exchange rules. Mentors other staff and guides them in the completion of their routine surveillance reviews.

Requirements

  • Bachelor’s degree and a minimum of seven (7) years of experience in the securities/financial services industry; or an equivalent combination of education and experience in positions of increasing responsibilities.
  • Demonstrated understanding of surveillance development lifecycle and goal attainment skills.
  • Working knowledge of FINRA, MSRB and other SRO rules and the Securities Exchange Act of 1934 and the rules and regulations thereunder.
  • Experience identifying potential securities rule violations.
  • Experience working on routine projects independently; some experience working independently on complex projects.

Responsibilities

  • Conducts routine reviews in search of possible violations of rules and federal securities laws with moderate supervision.
  • Researches and provides management with updates regarding rules, regulations, guidelines, intelligence, and advisories.
  • Conducts processes for testing and developing new analytics, surveillance tools or processes that detect and deter fraudulent activity, maintaining and enhancing surveillance methods, and developing improved approaches for uncovering violations at the organization's firms.
  • Communicates both verbally and in writing with firms, registered and associated persons, investors, and others.
  • Guides team members in the process for the documentation of review steps and results, including referrals to Enforcement and outside agencies.
  • Demonstrates subject matter expertise and an ability to coach and train colleagues in techniques, processes, and responsibilities.
  • Participates actively in and plays a leading role in special projects, and completes such projects in a timely, accurate and high-quality manner to materially advance the goals and objectives of the business unit or department.
  • Works independently on routine projects; ability to work independently on complex projects.
  • Represents FINRA in internal meetings.
  • Demonstrates FINRA’s values of Responsibility, Innovation, Collaboration and Expertise in interactions with colleagues, management, FINRA members, and outside parties.
  • Demonstration of FINRA’s values.
  • Collaboration, both in-person and virtually, in furtherance of FINRA’s mission of investor protection and market integrity.
  • Participates in initiatives across Surveillance.
  • Remains current on industry trends, practices, and regulatory impacts.

Benefits

  • Discretionary bonus
  • Overtime pay
  • Comprehensive health insurance
  • Dental insurance
  • Vision insurance
  • Basic life insurance
  • Accidental death and dismemberment insurance
  • Supplemental life insurance
  • Spouse/domestic partner and dependent life insurance
  • Spouse/domestic partner and dependent accidental death and dismemberment insurance
  • Short-term disability insurance
  • Long-term disability insurance
  • Long-term care insurance
  • Business travel accident insurance
  • Legal insurance
  • Immediate participation and vesting in a 401(k) plan with company match
  • FINRA-funded retirement contribution
  • Tuition reimbursement
  • Commuter benefits
  • Adoption assistance
  • Backup family care
  • Surrogacy benefits
  • Employee assistance program
  • Wellness programs
  • 15 days of paid time off (increasing with years of service, up to 25 days)
  • 5 personal days
  • 9 sick days
  • Two volunteer service days
  • Military leave
  • Jury duty leave
  • Bereavement leave
  • Voting and election official leave
  • Care of a family member leave
  • Childbirth and parental leave
  • Nine paid holidays
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