Supervision Specialist

Cetera Financial GroupDallas, TX
$73,000 - $103,000Hybrid

About The Position

We’re seeking a Supervision Specialist to join our team and help ensure compliance and operational excellence. This role offers an opportunity to leverage your industry expertise as a registered principal while supporting financial professionals and safeguarding firm standards. Ideal candidates are self-motivated with strong critical-thinking and communication skills, detail-oriented, and thrive in fast-paced, time-sensitive environments. A strong understanding of the financial services industry, including products and regulations, is essential. This is a hybrid role located in Dallas, TX.

Requirements

  • Bachelor’s degree.
  • FINRA Series 7, 24, and 63 licenses required; Series 65/66 within 6 months; Series 53/52 within 1 year of hire. Series 4 preferred.
  • 3+ years of relevant securities industry experience
  • 2+ years of supervisory and/or sales experience within the brokerage and securities industry.
  • Strong working knowledge of industry products and services (stocks, bonds, mutual funds, UITs, ETFs, REITs, annuities, alternative investments, etc.).
  • Deep understanding of industry rules governing transactions and suitability.
  • Excellent technology and communication skills.
  • Ability to thrive in a fast-paced environment with strong prioritization and multitasking skills.
  • Collaborative team player with a commitment to department and firm success.
  • In-depth knowledge of financial products and services.
  • Great customer service, communication and relationship skills.

Nice To Haves

  • Additional industry certifications, Insurance License and FINRA Licenses.
  • Experience with Pershing, Smarsh, Albridge, Protegent, Docupace, Salesforce, NetX360
  • Independent broker-dealer experience.

Responsibilities

  • Directly oversee assigned representatives by reviewing and approving customer new accounts, daily transactions, correspondence review and with Regulation Best Interest.
  • Review alerts related to advisory account exceptions.
  • Conduct customer account reviews to detect potential sales abuses.
  • Discuss compliance concerns or potential violations with the financial representative.
  • Provide education and training to Financial Professionals concerning regulatory, corporate and legal requirements, general product offerings, licensing issues as well as internal processes & procedures.
  • Collaborate with team members, departments, home office staff, and field personnel to provide ad hoc supervision support and promote the firm’s overall objectives.
  • Other duties as assigned, including and/or operations functions.

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What This Job Offers

Job Type

Full-time

Career Level

Mid Level

Number of Employees

501-1,000 employees

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