Responsible for conducting customer complaint review and driving resolution and remediation efforts in accordance with FINRA/SEC rules and regulations. Coordinating and responding to regulatory requests for BD / RIA (FINRA, SEC, and various State regulators). Additional responsibilities may include preparation and presentation of root cause analysis and trend reporting to various business units. Leads and executes compliance risk management activities to reasonably ensure compliance with the Enterprise Compliance Management Policy and Framework. This role is in-office five (5) days a week.
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Job Type
Full-time
Career Level
Mid Level