Principal Review Specialist

Fifth Third Bank
Remote

About The Position

Performs brokerage and insurance regulatory sales supervision functions for the broker-dealer and insurance agency subsidiaries of the Bancorp. Mitigates risk of loss and regulatory risk incurred by Fifth Third Securities. Responsible and accountable for risk by openly exchanging ideas and opinions, elevating concerns, and personally following policies and procedures as defined. Accountable for always doing the right thing for customers and colleagues, and ensures that actions and behaviors drive a positive customer experience. While operating within the Bank's risk appetite, achieves results by consistently identifying, assessing, managing, monitoring, and reporting risks of all types.

Requirements

  • High school diploma or equivalent required.
  • 2 years brokerage or related work experience.
  • Series 7, 63, and 24 are required to be obtained as documented in the Fifth Third Securities Licensing Guidelines.
  • Knowledge of FINRA, SEC, MSRB and State Securities rules and regulations.

Nice To Haves

  • Bachelors degree in Finance, Economics or related field preferred.
  • Strongly encouraged to obtain Series 4, 53 and 66, as well as a life and health insurance license.
  • Extensive knowledge of the following investment products: Annuities, Stocks, ETF's, ETN's, Mutual Funds, UIT's, Structured Products, Corporate Bonds, Government Bonds, Municipal Bonds, Brokerage CD's and Options preferred.
  • Familiarity with National Financial Services and FIS Protegent Prosurv systems preferred.

Responsibilities

  • Approves or rejects a subset of business processes including rollovers, securities and / or insurance transactions for the broker-dealer, investment advisor and insurance agency.
  • Determines whether transactions are in conformance with regulatory requirements, as well as firm and industry standards.
  • Determines whether recommended securities and/or insurance transactions are suitable for, and in the best interest of, the client.
  • Seeks additional information and related follow-up to evidence the review process, in conformance with requirements.
  • Assists with regulatory exams and requests; assists with the maintenance of the department procedure manual.
  • Reviews all variable insurance products and fixed annuities including Variable and Indexed annuities, Variable Universal Life, Long Term Care Products and Immediate Annuities.
  • As assigned, reviews all other securities products that appear on the respective blotters including but not limited to Stock, ETF's, Mutual Funds, UIT's, Structured Products, Bonds and Options.
  • Reviews brokerage new account applications.
  • Reviews margin and option account applications.
  • Reviews brokerage account maintenance documents including but not limited to Power of Attorney documents, Limited Trading Authority authorizations, Corporate Resolutions and Transfer of Death designations.
  • Reviews advisor email correspondence.
  • Reviews and approves mutual fund trade corrections.
  • Reviews new business forms for the Registered Investment Advisor.
  • Reviews 529 College Savings Plan applications.
  • As assigned, reviews rollovers in accordance with Firm RegBI processes and procedures.
  • Partners with the Compliance, Brokerage Operations, Technology and Sales leaders in the organization to ensure a best-in-class sales supervision program.
  • Conducts informal business practice reviews to identify trends and/or irregular trading activity.
  • Any and other duties as assigned by departmental supervisors or other leaders as appropriate.

Benefits

  • Comprehensive benefits and differentiated compensation offerings
  • Eligible to participate in an incentive compensation plan
  • Extensive benefits programs designed to support the individual needs of our employees and their families, encompassing physical, financial, emotional and social well-being.
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